VANGUARD SCOTTSDALE FDS - SHORT TERM TREAS (VGSH)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SHORT TERM TREAS
Shares, excl. options Q3 2024
223M
Holdings value Q3 2024
$13.1B
Value change Q3 2024
-$45.7M
Grand Portfolio weight change Q3 2024
0%
Number of holders
817
Number of buys Q3 2024
425
Number of sells Q3 2024
-337
Average buys Q3 2024 %
+0.012%
Average sells Q3 2024 %
-0.016%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 223M $13.1B -$45.7M $59.02 819
2024 Q2 225M $13.1B -$536M $57.99 825
2024 Q1 234M $13.6B -$838M $58.07 820
2023 Q4 247M $14.4B -$630M $58.33 837
2023 Q3 255M $14.7B +$220M $57.60 795
2023 Q2 251M $14.5B +$2.26B $57.73 787
2023 Q1 211M $12.4B +$1.2B $58.54 751
2022 Q4 192M $11.1B +$1.33B $57.82 720
2022 Q3 166M $9.61B +$870M $57.79 643
2022 Q2 154M $9.05B +$838M $58.86 631
2022 Q1 139M $8.22B -$988M $59.26 568
2021 Q4 154M $9.37B +$652M $60.83 546
2021 Q3 142M $8.73B +$667M $61.41 513
2021 Q2 132M $8.14B +$2.92B $61.43 491
2021 Q1 85.4M $5.26B +$259M $61.52 501
2020 Q4 79.4M $4.89B -$406M $61.60 476
2020 Q3 74.8M $4.64B +$268M $62.09 429
2020 Q2 70M $4.36B +$537M $62.20 405
2020 Q1 60.9M $3.81B +$730M $62.34 353
2019 Q4 48.9M $2.98B +$279M $60.83 283
2019 Q3 44.2M $2.69B -$53.2M $60.93 259
2019 Q2 45.1M $2.75B +$528M $60.93 240
2019 Q1 37.2M $2.25B -$977M $60.42 242
2018 Q4 54.7M $3.29B +$1.54B $60.12 243
2018 Q3 27.4M $1.64B +$422M $59.74 177
2018 Q2 20.7M $1.24B +$182M $59.92 154
2018 Q1 17.6M $1.06B +$130M $60.04 134
2017 Q4 15.3M $925M -$33.7M $60.27 132
2017 Q3 15.6M $943M +$525M $60.72 115
2017 Q2 6.97M $419M -$69.4M $60.76 105
2017 Q1 8.12M $494M +$145M $60.79 105
2016 Q4 5.71M $348M +$35.3M $60.92 91
2016 Q3 5.09M $312M +$4.62M $61.21 79
2016 Q2 5.02M $308M +$9.6M $61.44 73
2016 Q1 4.77M $292M +$42.4M $61.20 74
2015 Q4 4.09M $248M -$10.3M $60.76 70
2015 Q3 4.25M $260M -$55.9M $61.21 57
2015 Q2 5.2M $318M +$20M $61.11 59
2015 Q1 4.85M $296M -$6.59M $61.10 51
2014 Q4 4.95M $301M +$17.3M $60.88 52
2014 Q3 4.72M $287M +$60.7M $60.92 41
2014 Q2 3.72M $227M +$40.9M $60.94 43
2014 Q1 3.05M $186M -$6.66M $60.86 40