VANGUARD SCOTTSDALE FDS - LG-TERM COR BD (VCLT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / LG-TERM COR BD
Shares, excl. options Q3 2024
132M
Holdings value Q3 2024
$10.7B
Value change Q3 2024
+$3.41B
Grand Portfolio weight change Q3 2024
+0.006%
Number of holders
319
Number of buys Q3 2024
196
Number of sells Q3 2024
-97
Average buys Q3 2024 %
+0.006%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 132M $10.7B +$3.41B $81.23 319
2024 Q2 90.2M $6.84B +$1.65B $75.86 303
2024 Q1 69M $5.39B +$1.05B $78.23 298
2023 Q4 55.6M $4.45B -$521M $80.15 274
2023 Q3 60M $4.3B +$516M $71.62 236
2023 Q2 54M $4.24B +$268M $78.49 242
2023 Q1 50.8M $4.05B +$340M $79.72 221
2022 Q4 44.8M $3.39B +$136M $75.71 223
2022 Q3 43.1M $3.16B +$180M $73.24 204
2022 Q2 40.7M $3.3B +$167M $81.11 211
2022 Q1 38.5M $3.6B +$425M $93.67 216
2021 Q4 33.5M $3.54B -$30.7M $105.84 216
2021 Q3 32.3M $3.41B +$47.2M $105.58 194
2021 Q2 31.9M $3.41B +$86.5M $106.94 198
2021 Q1 31.1M $3.15B +$95.6M $101.25 201
2020 Q4 27.7M $3.08B +$312M $111.07 204
2020 Q3 24.8M $2.65B +$511M $106.88 187
2020 Q2 20M $2.12B -$15.2M $106.29 176
2020 Q1 20.4M $1.98B +$3.37M $97.13 164
2019 Q4 20.3M $2.05B +$63.6M $101.36 174
2019 Q3 19.3M $1.96B +$157M $101.14 156
2019 Q2 17.9M $1.73B +$195M $96.87 139
2019 Q1 15.9M $1.44B +$257M $91.53 135
2018 Q4 13.1M $1.1B -$31.3M $85.18 129
2018 Q3 12.6M $1.11B +$269M $87.99 126
2018 Q2 10.2M $896M +$134M $87.57 124
2018 Q1 8.71M $794M -$250M $91.36 131
2017 Q4 10.9M $1.04B +$194M $95.75 140
2017 Q3 8.69M $819M +$62.8M $94.17 116
2017 Q2 8.02M $748M +$112M $93.30 110
2017 Q1 6.76M $608M -$235M $89.90 104
2016 Q4 9.52M $851M +$204M $89.35 99
2016 Q3 7.13M $682M +$95.5M $95.70 98
2016 Q2 6.08M $575M +$33.9M $94.54 91
2016 Q1 5.71M $510M -$93.2M $89.45 87
2015 Q4 6.87M $578M +$60M $84.18 82
2015 Q3 6.1M $525M +$86.8M $86.03 68
2015 Q2 5.1M $435M -$193M $85.31 71
2015 Q1 7.27M $684M +$197M $94.10 78
2014 Q4 5.14M $475M +$46.5M $92.42 61
2014 Q3 4.26M $382M -$5.55M $89.52 54
2014 Q2 4.32M $390M +$82.4M $90.25 55
2014 Q1 3.41M $297M +$22.5M $87.26 46