VANGUARD BD INDEX FDS - SHORT TRM BOND (BSV)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SHORT TRM BOND
Shares, excl. options Q3 2024
352M
Holdings value Q3 2024
$27.7B
Value change Q3 2024
+$918M
Grand Portfolio weight change Q3 2024
+0.002%
Number of holders
1103
Number of buys Q3 2024
510
Number of sells Q3 2024
-507
Average buys Q3 2024 %
+0.012%
Average sells Q3 2024 %
-0.014%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 352M $27.7B +$918M $78.69 1,104
2024 Q2 343M $26.3B +$689M $76.70 1,101
2024 Q1 332M $25.5B -$681M $76.67 1,122
2023 Q4 343M $26.4B -$695M $77.02 1,166
2023 Q3 350M $26.3B -$3.99B $75.17 1,109
2023 Q2 398M $30.1B -$83.4M $75.57 1,122
2023 Q1 398M $30.5B +$131M $76.49 1,116
2022 Q4 397M $29.9B -$777M $75.28 1,144
2022 Q3 401M $30B +$2.16B $74.82 1,113
2022 Q2 375M $28.8B +$2.32B $76.79 1,140
2022 Q1 344M $26.8B -$2.47B $77.90 1,144
2021 Q4 374M $30.3B +$516M $80.83 1,148
2021 Q3 364M $29.8B +$7.32B $81.94 1,016
2021 Q2 274M $22.5B +$1.99B $82.16 1,011
2021 Q1 253M $20.8B +$2.24B $82.19 1,014
2020 Q4 225M $18.6B +$1.29B $82.90 985
2020 Q3 199M $16.5B +$1.13B $83.05 882
2020 Q2 185M $15.4B +$516M $83.12 845
2020 Q1 179M $14.7B +$1.13B $82.18 800
2019 Q4 165M $13.3B +$607M $80.61 810
2019 Q3 156M $12.6B -$1.4B $80.79 721
2019 Q2 172M $13.9B +$316M $80.53 721
2019 Q1 170M $13.6B -$6.1B $79.59 701
2018 Q4 247M $19.4B +$1.78B $78.57 693
2018 Q3 222M $17.3B +$287M $78.03 638
2018 Q2 218M $17.1B +$1.31B $78.21 637
2018 Q1 200M $15.7B +$851M $78.44 652
2017 Q4 190M $15B +$633M $79.10 639
2017 Q3 179M $14.3B +$2.78B $79.82 572
2017 Q2 145M $11.6B -$650M $79.85 573
2017 Q1 152M $12.1B +$771M $79.72 558
2016 Q4 142M $11.3B +$718M $79.45 552
2016 Q3 132M $10.7B -$343M $80.83 504
2016 Q2 136M $11B -$646M $81.06 495
2016 Q1 144M $11.6B +$751M $80.63 491
2015 Q4 135M $10.7B +$326M $79.57 472
2015 Q3 127M $10.2B +$1.57B $80.39 429
2015 Q2 122M $9.81B +$175M $80.19 413
2015 Q1 120M $9.69B +$668M $80.52 412
2014 Q4 112M $8.93B +$33.2M $79.95 401
2014 Q3 110M $8.82B +$506M $80.07 362
2014 Q2 104M $8.34B +$317M $80.34 348
2014 Q1 100M $8.01B +$116M $80.09 348