VANGUARD BD INDEX FDS - LONG TERM BOND (BLV)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / LONG TERM BOND
Shares, excl. options Q3 2024
43.5M
Holdings value Q3 2024
$3.27B
Value change Q3 2024
+$147M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
344
Number of buys Q3 2024
202
Number of sells Q3 2024
-141
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 43.5M $3.27B +$147M $75.17 347
2024 Q2 41.8M $2.94B -$127M $70.29 357
2024 Q1 43.5M $3.15B -$656M $72.33 352
2023 Q4 52.4M $3.91B +$154M $74.58 358
2023 Q3 50.1M $3.36B -$253M $67.06 296
2023 Q2 51.4M $3.85B +$632M $74.92 304
2023 Q1 42.5M $3.26B +$521M $76.64 272
2022 Q4 35.6M $2.58B +$79.9M $72.44 255
2022 Q3 34.5M $2.48B +$37.6M $71.95 236
2022 Q2 34.1M $2.72B -$38.3M $79.72 245
2022 Q1 34.5M $3.16B -$488M $91.69 254
2021 Q4 39.5M $4.06B +$120M $102.92 265
2021 Q3 38M $3.9B +$380M $102.33 248
2021 Q2 34.3M $3.53B +$97.2M $103.03 241
2021 Q1 33.4M $3.29B -$35.1M $98.14 239
2020 Q4 33.7M $3.7B +$572M $109.64 257
2020 Q3 28M $3.13B +$81.9M $111.84 221
2020 Q2 28M $3.13B +$306M $111.65 209
2020 Q1 25.3M $2.71B -$439M $106.72 206
2019 Q4 29.5M $2.89B +$602M $100.34 204
2019 Q3 22.5M $2.3B +$171M $102.67 168
2019 Q2 20.8M $2.02B +$302M $97.06 161
2019 Q1 17.8M $1.64B -$472M $92.14 167
2018 Q4 22.6M $1.98B +$665M $87.51 152
2018 Q3 14.5M $1.27B +$1.96M $87.43 140
2018 Q2 14.4M $1.28B +$26.8M $88.64 141
2018 Q1 13.6M $1.23B -$70.3M $90.91 152
2017 Q4 14.8M $1.41B +$83.9M $95.08 145
2017 Q3 13.7M $1.28B +$58.5M $93.77 118
2017 Q2 13.1M $1.22B +$30.1M $93.14 119
2017 Q1 12.7M $1.14B +$73.7M $90.04 116
2016 Q4 10.9M $970M -$3.42M $89.13 107
2016 Q3 10.8M $1.07B -$440M $98.60 105
2016 Q2 15.3M $1.5B +$198M $98.05 98
2016 Q1 13.2M $1.23B +$59.7M $93.04 93
2015 Q4 12.7M $1.1B -$76.2M $86.81 90
2015 Q3 13.5M $1.21B +$451M $89.34 77
2015 Q2 8.45M $743M +$152M $87.61 76
2015 Q1 6.67M $642M +$74.5M $96.32 81
2014 Q4 5.91M $557M +$95.3M $94.27 71
2014 Q3 4.33M $391M +$84.6M $90.23 65
2014 Q2 3.4M $305M +$24.2M $89.89 63
2014 Q1 3.13M $271M +$22.5M $86.73 61