Vanguard Short-Term Tax-Exempt Fund - COM

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
5.51M
Holdings value Q3 2024
$87.4M
Value change Q3 2024
+$530K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
3
Number of buys Q3 2024
2
Number of sells Q3 2024
-2
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 5.51M $87.4M +$530K $15.85 3
2024 Q2 5.48M $86.2M -$8.41M $15.72 4
2024 Q1 6M $94.4M +$9.94M $15.73 3
2023 Q4 5.38M $85M -$1.51M $15.78 4
2023 Q3 5.48M $85M +$8.41M $15.51 3
2023 Q2 4.94M $77.1M +$76.5M $15.61 3
2023 Q1 34K $531K -$272K $15.65 3
2022 Q4 51.4K $801K +$323K $15.57 3
2022 Q3 30.7K $474K +$23.9K $15.44 2
2022 Q2 29.1K $455K +$501 $15.62 2
2022 Q1 29.1K $455K -$3.28M $15.63 2
2021 Q4 235K $3.74M -$366K $15.87 4
2021 Q3 259K $4.11M +$715K $15.89 4
2021 Q2 214K $3.4M -$19.8K $15.92 4
2021 Q1 215K $3.42M +$58.9K $15.93 4
2020 Q4 211K $3.37M +$3.15M $15.95 3
2020 Q3 13.9K $222K $0 $15.95 1
2020 Q2 13.9K $222K $0 $15.95 1
2020 Q1 13.9K $220K -$7.18M $15.80 1
2019 Q4 467K $7.41M +$1.37M $15.86 2
2019 Q3 13.9K $220K -$1.06M $15.80 1
2019 Q2 448K $7.09M +$518K $15.82 3
2019 Q1 415K $6.57M +$2.81M $15.80 3
2018 Q4 239K $3.75M +$1.8M $15.73 5
2018 Q3 60.1K $943K -$2.37M $15.68 3
2018 Q2 211K $3.31M +$2.43M $15.72 4
2018 Q1 56K $880K -$3.61M $15.72 2
2017 Q4 286K $4.49M -$29.1M $15.71 3
2017 Q3 2.13M $33.6M +$29.9M $15.80 4
2017 Q2 236K $3.72M +$3.32M $15.79 3
2017 Q1 25.5K $403K $0 $15.78 2
2016 Q4 25.5K $402K $0 $15.75 2
2016 Q3 25.5K $404K $0 $15.83 2
2016 Q2 25.5K $405K -$288K $15.86 2
2016 Q1 43.8K $692K +$252 $15.80 4
2015 Q4 43.8K $691K -$39.3K $15.80 4
2015 Q3 46.2K $732K +$253 $15.83 4
2015 Q2 46.2K $731K +$126K $15.82 4
2015 Q1 38.3K $606K +$202K $15.84 3
2014 Q4 25.5K $404K $0 $15.83 2
2014 Q3 25.5K $405K $0 $15.86 2
2014 Q2 25.5K $405K $0 $15.86 2
2014 Q1 25.5K $405K -$875K $15.86 2