VANGUARD WORLD FD - INF TECH ETF (VGT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / INF TECH ETF
Shares, excl. options Q3 2024
46.6M
Holdings value Q3 2024
$27.3B
Value change Q3 2024
+$268M
Grand Portfolio weight change Q3 2024
+0.001%
Number of holders
1538
Number of buys Q3 2024
652
Number of sells Q3 2024
-553
Average buys Q3 2024 %
+0.008%
Average sells Q3 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 46.6M $27.3B +$268M $586.52 1,538
2024 Q2 46.2M $26.6B +$78M $576.59 1,499
2024 Q1 46M $24.1B -$94.5M $524.34 1,420
2023 Q4 46.2M $22.4B +$133M $484.00 1,353
2023 Q3 45.8M $19B -$513M $414.90 1,215
2023 Q2 46.9M $20.7B -$1.37B $442.16 1,236
2023 Q1 49.6M $19.1B -$354M $385.47 1,162
2022 Q4 50.6M $16.2B +$558M $319.41 1,116
2022 Q3 48.5M $14.9B -$294M $307.37 1,042
2022 Q2 49.7M $16.2B +$360M $326.55 1,066
2022 Q1 48M $20B -$1.24B $416.48 1,167
2021 Q4 51M $23.3B +$398M $458.17 1,211
2021 Q3 49.3M $19.8B -$627M $401.29 1,033
2021 Q2 50.2M $20B +$408M $398.77 1,005
2021 Q1 49.7M $17.8B -$917M $358.49 960
2020 Q4 52.1M $18.4B +$454M $353.79 979
2020 Q3 50.6M $15.8B -$820M $311.45 859
2020 Q2 53.3M $14.9B +$1.71B $278.71 805
2020 Q1 47.6M $10.1B -$282M $211.90 756
2019 Q4 48.8M $12B +$460M $244.85 742
2019 Q3 46.2M $9.96B +$111M $215.55 613
2019 Q2 45.7M $9.65B -$290M $210.89 610
2019 Q1 47.3M $9.49B -$1.43B $200.63 599
2018 Q4 54.4M $9.08B -$821M $166.83 576
2018 Q3 58.6M $11.9B -$717M $202.56 544
2018 Q2 62.2M $11.3B +$725M $181.40 506
2018 Q1 58.3M $9.96B -$320M $171.00 489
2017 Q4 60.1M $9.9B +$445M $164.73 466
2017 Q3 57.1M $8.67B +$2.32B $151.99 403
2017 Q2 41.8M $5.89B -$601M $140.84 391
2017 Q1 46.1M $6.25B +$195M $135.63 379
2016 Q4 44.3M $5.39B -$704M $121.50 355
2016 Q3 50M $6.02B +$470M $120.37 303
2016 Q2 46.5M $4.98B -$151M $107.09 283
2016 Q1 47.7M $5.22B +$243M $109.53 283
2015 Q4 45.8M $4.95B +$332M $108.29 291
2015 Q3 41.9M $4.19B +$1.34B $100.00 252
2015 Q2 40.1M $4.26B +$214M $106.23 261
2015 Q1 38M $4.05B +$568M $106.52 250
2014 Q4 32.8M $3.42B -$105M $104.48 240
2014 Q3 33.3M $3.33B +$131M $100.08 219
2014 Q2 32M $3.1B +$146M $96.79 205
2014 Q1 30.6M $2.8B +$252M $91.53 199