VANGUARD MALVERN FDS - STRM INFPROIDX (VTIP)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / STRM INFPROIDX
Shares, excl. options Q2 2024
121M
Holdings value Q2 2024
$5.85B
Value change Q2 2024
+$5.8M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
709
Number of buys Q2 2024
281
Number of sells Q2 2024
-370
Average buys Q2 2024 %
+0.009%
Average sells Q2 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 1.86M $91.8M +$138K $49.31 17
2024 Q2 121M $5.85B +$5.8M $48.54 709
2024 Q1 115M $5.53B -$647M $47.89 695
2023 Q4 134M $6.35B -$939M $47.49 736
2023 Q3 153M $7.21B +$296M $47.28 708
2023 Q2 147M $6.98B -$245M $47.42 742
2023 Q1 151M $7.21B -$1.18B $47.82 754
2022 Q4 197M $9.21B -$186M $46.71 788
2022 Q3 198M $9.56B -$950M $48.11 758
2022 Q2 220M $11B +$744M $50.12 783
2022 Q1 206M $10.5B -$717M $51.21 762
2021 Q4 218M $11.2B +$1.47B $51.40 724
2021 Q3 184M $9.69B +$1.12B $52.58 596
2021 Q2 162M $8.48B +$732M $52.41 560
2021 Q1 148M $7.64B +$1.09B $51.54 498
2020 Q4 127M $6.49B +$405M $51.10 441
2020 Q3 118M $6.02B +$1.03B $51.02 376
2020 Q2 98M $4.91B +$519M $50.17 348
2020 Q1 87M $4.24B -$576M $48.72 340
2019 Q4 99.3M $4.89B +$312M $49.28 339
2019 Q3 92.7M $4.55B +$681M $49.05 318
2019 Q2 79M $3.89B +$148M $49.32 319
2019 Q1 76.5M $3.72B +$297M $48.68 319
2018 Q4 70.3M $3.37B +$425M $47.92 307
2018 Q3 59.7M $2.89B +$258M $48.37 287
2018 Q2 54.3M $2.65B +$187M $48.85 281
2018 Q1 50.5M $2.47B -$103M $48.91 271
2017 Q4 52.8M $2.58B +$433M $48.82 240
2017 Q3 42.4M $2.1B +$256M $49.45 200
2017 Q2 37.3M $1.84B +$171M $49.23 194
2017 Q1 33.8M $1.67B +$138M $49.47 197
2016 Q4 30.9M $1.52B +$294M $49.16 172
2016 Q3 24.3M $1.21B -$96.4M $49.65 148
2016 Q2 26.3M $1.3B +$102M $49.48 152
2016 Q1 24.2M $1.19B +$45.1M $49.13 146
2015 Q4 23.3M $1.12B +$220M $48.35 139
2015 Q3 18.4M $888M +$124M $48.38 120
2015 Q2 16M $781M -$23.7M $48.68 116
2015 Q1 16.5M $801M +$201M $48.46 110
2014 Q4 12.4M $598M +$177M $48.24 115
2014 Q3 8.15M $401M +$56M $49.37 100
2014 Q2 6.71M $336M +$9.79M $50.12 86
2014 Q1 6.52M $322M +$7.95M $49.33 86