VANGUARD SCOTTSDALE FDS - SHORT TERM TREAS (VGSH)

Historical Holders from Q1 2014 to Q3 2025

Symbol
VGSH
Type / Class
Equity / SHORT TERM TREAS
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
251,660,840
Holdings value
$14,813,194,135
% of all portfolios
0.1%
Number of holders
925
Number of buys
508
Number of sells
-367
Average buys %
+0.01%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANGUARD SCOTTSDALE FDS - SHORT TERM TREAS (VGSH)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 251,660,840 $14,813,194,135 +$16,458,884 $58.85 925
2025 Q2 253,636,655 $14,916,833,188 -$462,827,169 $58.78 940
2025 Q1 261,068,331 $15,321,650,807 +$1,040,438,738 $58.69 926
2024 Q4 246,760,996 $14,350,908,246 +$945,178,226 $58.18 906
2024 Q3 226,426,444 $13,360,216,652 +$61,367,987 $59.02 840
2024 Q2 225,594,306 $13,082,041,126 -$538,714,174 $57.99 840
2024 Q1 234,536,758 $13,619,759,025 -$821,695,721 $58.07 835
2023 Q4 249,127,062 $14,525,952,667 -$590,797,119 $58.33 856
2023 Q3 256,415,047 $14,766,889,600 +$267,282,296 $57.6 806
2023 Q2 251,098,365 $14,500,187,815 +$2,264,622,712 $57.73 798
2023 Q1 211,366,215 $12,366,485,624 +$1,197,538,033 $58.54 761
2022 Q4 191,799,662 $11,084,972,164 +$1,331,231,246 $57.82 727
2022 Q3 165,988,522 $9,591,611,840 +$892,930,188 $57.79 652
2022 Q2 152,586,365 $8,975,777,404 +$806,620,382 $58.86 640
2022 Q1 138,264,746 $8,195,482,255 -$987,532,613 $59.26 576
2021 Q4 153,632,584 $9,345,797,863 +$626,484,569 $60.83 553
2021 Q3 142,294,728 $8,738,148,452 +$667,036,644 $61.41 516
2021 Q2 132,492,922 $8,139,056,248 +$2,918,489,433 $61.43 494
2021 Q1 85,471,878 $5,263,371,702 +$257,675,428 $61.52 504
2020 Q4 79,484,524 $4,896,350,683 -$405,849,565 $61.6 479
2020 Q3 74,798,168 $4,643,533,896 +$267,401,066 $62.09 431
2020 Q2 70,073,360 $4,358,579,592 +$537,930,116 $62.2 407
2020 Q1 60,988,679 $3,811,870,294 +$730,066,394 $62.34 356
2019 Q4 48,948,889 $2,977,529,653 +$278,809,384 $60.83 285
2019 Q3 44,174,840 $2,691,909,647 -$53,200,086 $60.93 260
2019 Q2 45,140,962 $2,750,256,695 +$528,488,769 $60.93 241
2019 Q1 37,173,694 $2,245,966,555 -$977,402,856 $60.42 243
2018 Q4 54,653,327 $3,285,733,323 +$1,535,321,552 $60.12 244
2018 Q3 27,437,447 $1,639,013,379 +$422,069,774 $59.74 178
2018 Q2 20,657,311 $1,237,732,955 +$182,077,527 $59.92 155
2018 Q1 17,610,711 $1,057,355,634 +$129,469,152 $60.04 135
2017 Q4 15,348,956 $925,143,123 -$33,561,753 $60.27 133
2017 Q3 15,320,184 $930,208,647 +$526,007,752 $60.72 114
2017 Q2 6,663,819 $404,912,783 -$70,920,558 $60.76 104
2017 Q1 8,193,074 $498,034,884 +$145,420,927 $60.79 106
2016 Q4 5,713,802 $348,037,000 +$35,251,648 $60.92 91
2016 Q3 5,093,050 $311,595,000 +$4,623,235 $61.21 79
2016 Q2 5,016,884 $308,121,598 +$9,594,393 $61.44 74
2016 Q1 4,766,443 $291,667,000 +$42,403,152 $61.2 74
2015 Q4 4,085,600 $248,336,000 -$10,333,563 $60.76 70
2015 Q3 4,253,430 $260,267,000 -$55,890,440 $61.21 57
2015 Q2 5,199,727 $317,772,084 +$20,006,843 $61.11 59
2015 Q1 4,848,512 $296,282,220 -$6,586,919 $61.1 51
2014 Q4 4,951,374 $301,058,008 +$17,298,517 $60.88 52
2014 Q3 4,718,930 $287,493,000 +$60,689,075 $60.92 41
2014 Q2 3,722,763 $226,873,000 +$40,897,997 $60.94 44
2014 Q1 3,051,590 $185,720,000 -$6,662,878 $60.86 41