VANGUARD SCOTTSDALE FDS - SHRT TRM CORP BD (VCSH)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SHRT TRM CORP BD
Shares, excl. options Q3 2024
299M
Holdings value Q3 2024
$23.7B
Value change Q3 2024
-$145M
Grand Portfolio weight change Q3 2024
0%
Number of holders
1223
Number of buys Q3 2024
554
Number of sells Q3 2024
-565
Average buys Q3 2024 %
+0.008%
Average sells Q3 2024 %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 299M $23.7B -$145M $79.42 1,223
2024 Q2 302M $23.3B -$1.69B $77.28 1,218
2024 Q1 324M $25B +$1.03B $77.31 1,221
2023 Q4 312M $24.1B -$1.28B $77.37 1,249
2023 Q3 322M $24.2B +$457M $75.15 1,190
2023 Q2 317M $24B -$1.01B $75.66 1,198
2023 Q1 332M $25.3B -$2.41B $76.23 1,213
2022 Q4 364M $27.4B -$221M $75.19 1,250
2022 Q3 340M $25.2B +$17.4M $74.28 1,203
2022 Q2 339M $25.9B +$1.22B $76.26 1,209
2022 Q1 326M $25.5B +$835M $78.09 1,228
2021 Q4 316M $25.6B +$283M $81.26 1,256
2021 Q3 305M $25.1B -$43M $82.41 1,108
2021 Q2 304M $25.2B +$1.2B $82.71 1,089
2021 Q1 291M $24B +$1.33B $82.50 1,080
2020 Q4 273M $22.8B +$2.38B $83.25 1,030
2020 Q3 225M $18.6B +$3.21B $82.85 915
2020 Q2 185M $15.3B +$2.14B $82.66 871
2020 Q1 154M $12.2B -$1.61B $79.10 824
2019 Q4 177M $14.4B +$50M $81.03 821
2019 Q3 175M $14.2B +$958M $81.05 716
2019 Q2 162M $13.1B -$488M $80.68 701
2019 Q1 169M $13.4B +$2.88B $79.76 707
2018 Q4 132M $10.3B -$93.6M $77.94 691
2018 Q3 131M $10.2B +$92.7M $78.16 653
2018 Q2 130M $10.2B +$283M $78.10 645
2018 Q1 126M $9.9B +$82.8M $78.43 648
2017 Q4 125M $9.89B +$125M $79.30 661
2017 Q3 120M $9.59B +$872M $80.13 581
2017 Q2 109M $8.7B +$715M $80.04 557
2017 Q1 100M $7.97B +$938M $79.74 542
2016 Q4 87.8M $6.97B +$812M $79.37 504
2016 Q3 76.3M $6.14B +$826M $80.55 451
2016 Q2 66.1M $5.33B +$185M $80.84 421
2016 Q1 63.5M $5.09B +$279M $80.03 403
2015 Q4 59.8M $4.72B +$232M $78.99 391
2015 Q3 56.2M $4.48B +$335M $79.71 343
2015 Q2 53.8M $4.28B +$160M $79.58 341
2015 Q1 51.5M $4.13B -$90.1M $80.21 332
2014 Q4 52.8M $4.2B +$424M $79.63 336
2014 Q3 46.2M $3.69B +$269M $79.87 290
2014 Q2 42.9M $3.45B +$80M $80.37 283
2014 Q1 42M $3.36B -$226M $79.98 273