VANGUARD SHORT-TERM INVE - BOND FUNDS

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / BOND FUNDS
Shares, excl. options Q3 2024
4.74M
Holdings value Q3 2024
$49.5M
Value change Q3 2024
-$730K
Grand Portfolio weight change Q3 2024
0%
Number of holders
2
Number of buys Q3 2024
1
Number of sells Q3 2024
-2
Average buys Q3 2024 %
+0%
Average sells Q3 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 4.74M $49.5M -$730K $10.46 2
2024 Q2 4.81M $49M +$44.6M $10.19 4
2024 Q1 420K $4.28M -$1.09M $10.20 4
2023 Q4 537K $5.5M +$149K $10.23 7
2023 Q3 519K $5.16M -$11.9K $9.93 3
2023 Q2 520K $5.19M +$39.4K $9.98 4
2023 Q1 516K $5.19M -$146K $10.06 4
2022 Q4 552K $5.5M -$638 $9.95 4
2022 Q3 552K $5.44M -$54.3K $9.84 3
2022 Q2 558K $5.62M +$4.17M $10.08 3
2022 Q1 147K $1.52M -$690K $10.32 3
2021 Q4 214K $2.3M -$17.1K $10.76 4
2021 Q3 215K $2.35M -$2.4M $10.87 4
2021 Q2 435K $4.76M +$1.93M $10.95 6
2021 Q1 259K $2.83M +$8.26K $10.88 4
2020 Q4 258K $2.85M +$1.73M $11.04 4
2020 Q3 88.3K $970K +$66.60 $10.98 3
2020 Q2 88.3K $965K -$87 $10.93 3
2020 Q1 88.3K $927K -$120K $10.49 3
2019 Q4 99.5K $1.07M +$74.7K $10.72 4
2019 Q3 95.5K $1.03M -$21.9K $10.74 4
2019 Q2 97.6K $1.05M -$7.45M $10.71 3
2019 Q1 801K $8.48M -$8.29M $10.59 3
2018 Q4 1.58M $16.5M +$8.56M $10.44 5
2018 Q3 758K $7.93M -$449K $10.45 5
2018 Q2 801K $8.38M +$6.91M $10.46 4
2018 Q1 141K $1.48M -$4.12M $10.50 3
2017 Q4 528K $5.62M -$1.08M $10.63 3
2017 Q3 629K $6.72M +$406K $10.69 6
2017 Q2 591K $6.31M +$4.48M $10.68 5
2017 Q1 171K $1.82M +$225K $10.65 2
2016 Q4 150K $1.6M -$197K $10.63 2
2016 Q3 169K $1.82M -$150K $10.78 3
2016 Q2 183K $1.97M +$420K $10.77 5
2016 Q1 144K $1.53M +$203K $10.69 5
2015 Q4 125K $1.32M -$443K $10.55 3
2015 Q3 166K $1.77M -$705K $10.64 4
2015 Q2 232K $2.48M -$23.4M $10.66 5
2015 Q1 2.42M $25.9M -$30.2K $10.72 7
2014 Q4 2.42M $25.8M +$3.44M $10.66 5
2014 Q3 2.1M $22.5M -$1.62M $10.71 4
2014 Q2 2.25M $24.2M +$1.79M $10.77 5
2014 Q1 2.11M $22.6M +$324K $10.73 5