VANGUARD SHORT-TERM FEDERAL ADM - BOND FUNDS

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / BOND FUNDS
Shares, excl. options Q2 2024
339K
Holdings value Q2 2024
$3.41M
Value change Q2 2024
+$3.38M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 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 Q2 339K $3.41M +$3.38M $10.04 1
2024 Q1 2.28K $23K -$209K $10.09 1
2023 Q4 23.6K $238K +$5.85K $10.09 3
2023 Q3 20.7K $205K -$43M $9.90 1
2023 Q2 4.34M $43.3M -$2.31M $9.96 3
2023 Q1 4.57M $46.2M -$2.73M $10.10 2
2022 Q4 4.84M $48.7M -$25.2M $10.05 1
2022 Q3 7.35M $74.1M -$2.32M $10.08 1
2022 Q2 7.58M $78.4M -$5.17M $10.34 1
2022 Q1 8.08M $84.5M -$5.06M $10.46 1
2021 Q4 8.56M $92.3M +$1.88M $10.79 2
2021 Q3 8.38M $91.6M +$2.81M $10.93 2
2021 Q2 8.13M $88.9M +$7.23M $10.94 2
2021 Q1 7.47M $81.6M +$20.8M $10.93 2
2020 Q4 5.56M $61.3M +$10.4M $11.01 2
2020 Q3 4.41M $48.6M -$368K $11.02 1
2020 Q2 4.45M $49M +$3.45M $11.01 1
2020 Q1 4.13M $45.2M -$2.54M $10.94 1
2019 Q4 4.37M $46.9M -$2.47M $10.73 1
2019 Q3 4.6M $49.4M +$446K $10.74 1
2019 Q2 4.56M $48.8M +$2.07M $10.71 1
2019 Q1 4.36M $46.4M +$2.27M $10.63 1
2018 Q4 4.15M $43.8M -$2.79M $10.55 2
2018 Q3 4.41M $46.2M -$843K $10.57 2
2018 Q2 4.49M $47.2M -$6.15M $10.51 1
2018 Q1 5.08M $53.5M -$371K $10.55 2
2017 Q4 5.11M $54.3M +$6.69M $10.61 2
2017 Q3 4.48M $47.9M +$1.45M $10.68 1
2017 Q2 4.35M $46.4M +$763K $10.68 1
2017 Q1 4.28M $45.7M +$1.49M $10.69 1
2016 Q4 4.14M $44.2M +$787K $10.69 1
2016 Q3 4.06M $44M +$1.93M $10.84 1
2016 Q2 3.88M $42.2M +$496K $10.86 1
2016 Q1 3.84M $41.5M +$411K $10.82 1
2015 Q4 3.8M $40.7M +$1.09M $10.71 1
2015 Q3 3.7M $40M -$2.21M $10.82 2
2015 Q2 3.9M $42M +$3.84M $10.77 2
2015 Q1 3.55M $38.3M +$2.63M $10.80 2
2014 Q4 3.3M $35.5M +$2.07M $10.76 1
2014 Q3 3.11M $33.4M +$1.4M $10.74 1
2014 Q2 2.98M $32.1M +$1.82M $10.76 1
2014 Q1 2.83M $30.3M +$2.01M $10.76 2