VANGUARD INTL EQUITY INDEX F - FTSE PACIFIC ETF (VPL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / FTSE PACIFIC ETF
Shares, excl. options Q3 2024
56.4M
Holdings value Q3 2024
$4.42B
Value change Q3 2024
+$83.8M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
345
Number of buys Q3 2024
165
Number of sells Q3 2024
-122
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 56.4M $4.42B +$83.8M $78.39 345
2024 Q2 55.2M $4.11B -$161M $74.18 346
2024 Q1 57.5M $4.35B -$277M $76.03 333
2023 Q4 61.1M $4.4B +$163M $72.03 337
2023 Q3 58.7M $3.93B +$187M $66.88 318
2023 Q2 55.8M $3.89B +$55M $69.72 314
2023 Q1 55M $3.73B -$222M $67.82 308
2022 Q4 58.6M $3.77B +$65.5M $64.35 321
2022 Q3 57.5M $3.3B +$510M $57.44 286
2022 Q2 48.4M $3.07B +$216M $63.48 280
2022 Q1 44.2M $3.27B +$134M $74.05 297
2021 Q4 42.3M $3.29B +$491M $78.01 303
2021 Q3 35.8M $2.9B +$84.5M $81.04 286
2021 Q2 34.7M $2.86B +$117M $82.31 285
2021 Q1 33.3M $2.72B +$435M $81.66 289
2020 Q4 27.9M $2.23B +$219M $79.59 272
2020 Q3 24.9M $1.7B +$94M $68.05 227
2020 Q2 24M $1.53B -$75.6M $63.65 227
2020 Q1 24.6M $1.36B -$48.4M $55.16 226
2019 Q4 25.5M $1.77B +$50.1M $69.58 253
2019 Q3 24.1M $1.59B -$190M $66.05 230
2019 Q2 26.8M $1.77B -$199M $66.08 240
2019 Q1 30.9M $2.04B -$69.6M $65.86 259
2018 Q4 31.9M $1.94B +$58M $60.63 248
2018 Q3 30.6M $2.17B -$224M $71.10 244
2018 Q2 33.7M $2.36B -$25.2M $69.98 247
2018 Q1 33.9M $2.47B -$157M $72.95 254
2017 Q4 36M $2.62B +$279M $72.90 242
2017 Q3 32M $2.18B +$256M $68.20 210
2017 Q2 28.1M $1.85B +$218M $65.80 200
2017 Q1 25M $1.57B +$207M $63.28 186
2016 Q4 21.7M $1.27B +$180M $58.12 179
2016 Q3 18.3M $1.1B -$29.7M $60.58 172
2016 Q2 18.1M $1.01B -$124M $55.73 164
2016 Q1 20.8M $1.15B -$352M $55.27 168
2015 Q4 27M $1.53B +$45.3M $56.67 165
2015 Q3 15.6M $838M -$698M $53.69 151
2015 Q2 27M $1.66B -$30.4M $61.03 162
2015 Q1 27.4M $1.68B +$194M $61.28 144
2014 Q4 24.2M $1.38B +$72M $56.87 138
2014 Q3 23.2M $1.38B +$24.2M $59.30 144
2014 Q2 22.8M $1.42B -$1.31M $62.24 139
2014 Q1 22.6M $1.34B -$72.1M $59.08 135