VANGUARD SHORT-TERM INVESTMENT-GRADE ADM - BOND FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / BOND FUNDS
Price per share
$10.52
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,297,153
Total reported value
$13,645,697
% of total 13F portfolios
0%
Share change
-143,174
Value change
-$1,506,201
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 5 institutional investors reported holding 1,297,153 shares of VANGUARD SHORT-TERM INVESTMENT-GRADE ADM - BOND FUNDS.

Institutional Holders of VANGUARD SHORT-TERM INVESTMENT-GRADE ADM - BOND FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,264,185 $13,299,271 -$269,208 $10.52 2
2025 Q3 1,297,153 $13,645,697 -$1,506,201 $10.52 5
2025 Q2 1,440,327 $15,080,177 -$5,386,175 $10.47 2
2025 Q1 1,957,746 $20,360,530 -$972,408 $10.40 3
2024 Q4 2,053,164 $21,168,566 -$27,715,529 $10.31 3
2024 Q3 4,741,379 $49,595,248 -$729,186 $10.46 3
2024 Q2 4,811,092 $49,025,470 +$44,639,375 $10.19 4
2024 Q1 420,048 $4,284,298 -$1,094,361 $10.20 4
2023 Q4 537,290 $5,496,979 +$148,929 $10.23 7
2023 Q3 519,315 $5,156,063 -$11,904 $9.93 3
2023 Q2 520,383 $5,193,538 +$39,379 $9.98 4
2023 Q1 516,439 $5,189,080 -$145,506 $10.06 4
2022 Q4 552,378 $5,497,000 -$638 $9.95 4
2022 Q3 552,416 $5,435,000 -$54,339 $9.84 3
2022 Q2 557,939 $5,624,000 +$4,173,442 $10.08 3
2022 Q1 147,158 $1,519,000 -$689,954 $10.32 3
2021 Q4 213,814 $2,302,000 -$17,097 $10.76 4
2021 Q3 215,404 $2,353,000 -$2,401,760 $10.87 4
2021 Q2 434,635 $4,762,000 +$1,926,426 $10.95 6
2021 Q1 258,790 $2,828,000 +$8,260 $10.88 4
2020 Q4 258,123 $2,848,000 +$1,733,203 $11.04 4
2020 Q3 88,298 $970,000 +$67 $10.98 3
2020 Q2 88,292 $965,000 -$86 $10.93 3
2020 Q1 88,300 $927,000 -$120,382 $10.49 3
2019 Q4 99,543 $1,068,000 +$74,719 $10.72 4
2019 Q3 95,547 $1,026,070 -$21,882 $10.74 4
2019 Q2 97,571 $1,045,000 -$7,448,000 $10.71 3
2019 Q1 800,994 $8,482,000 -$8,292,811 $10.59 3
2018 Q4 1,584,532 $16,543,000 +$8,564,202 $10.44 5
2018 Q3 758,385 $7,926,000 -$448,809 $10.45 5
2018 Q2 801,389 $8,382,000 +$6,912,736 $10.46 4
2018 Q1 140,556 $1,476,000 -$4,117,293 $10.50 3
2017 Q4 528,240 $5,616,000 -$1,076,874 $10.63 3
2017 Q3 629,045 $6,723,000 +$405,756 $10.69 6
2017 Q2 591,038 $6,313,000 +$4,484,707 $10.68 5
2017 Q1 171,182 $1,824,000 +$224,502 $10.65 2
2016 Q4 150,116 $1,596,000 -$196,877 $10.63 2
2016 Q3 168,549 $1,817,000 -$52,590,854 $10.78 3
2016 Q2 182,502 $54,406,000 +$52,860,414 $10.77 5
2016 Q1 143,632 $1,534,846 +$203,113 $10.69 5
2015 Q4 124,586 $1,315,000 -$442,563 $10.55 3
2015 Q3 166,294 $1,770,244 -$704,584 $10.64 4
2015 Q2 232,113 $2,476,729 -$23,440,734 $10.66 5
2015 Q1 2,418,825 $25,930,300 -$30,229 $10.72 7
2014 Q4 2,422,856 $25,827,279 +$3,442,007 $10.66 5
2014 Q3 2,099,930 $22,490,000 -$1,617,127 $10.71 4
2014 Q2 2,250,136 $24,234,389 +$1,788,802 $10.77 5
2014 Q1 2,108,790 $22,626,924 +$324,203 $10.73 5