Vanguard Inst Index Fund - Sta - 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
511K
Holdings value Q3 2024
$97.3M
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
0
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 511K $97.3M $0 $190.49 1
2024 Q2 511K $91.9M $0 $180.03 1
2024 Q1 511K $88.2M $0 $172.76 1
2023 Q4 511K $79.9M $0 $156.37 1
2023 Q3 511K $71.5M $0 $140.11 1
2023 Q2 511K $74M $0 $144.95 1
2023 Q1 511K $68.1M $0 $133.39 1
2022 Q4 511K $63.4M +$59.1K $124.17 1
2022 Q3 510K $58.9M $0 $115.53 1
2022 Q2 510K $62M $0 $121.56 1
2022 Q1 510K $74M $0 $145.01 1
2021 Q4 510K $77.6M $0 $152.12 1
2021 Q3 510K $70M $0 $137.12 1
2021 Q2 510K $69.6M $0 $136.44 1
2021 Q1 510K $64.2M $0 $125.80 1
2020 Q4 510K $60.5M $0 $118.57 1
2020 Q3 510K $54M $0 $105.80 1
2020 Q2 510K $49.6M $0 $97.21 1
2020 Q1 510K $41.2M $0 $80.70 1
2019 Q4 510K $51.2M $0 $100.44 1
2019 Q3 510K $47M $0 $92.17 1
2019 Q2 510K $46.3M $0 $90.70 1
2019 Q1 510K $44.4M $0 $87.03 1
2018 Q4 510K $39.1M $0 $76.64 1
2018 Q3 510K $45.3M $0 $88.70 1
2018 Q2 510K $42.1M $0 $82.43 1
2018 Q1 510K $40.7M $0 $79.77 1
2017 Q4 510K $41M $0 $80.45 1
2017 Q3 510K $38.5M $0 $75.52 1
2017 Q2 510K $36.9M $0 $72.35 1
2017 Q1 510K $35.8M $0 $70.25 1
2016 Q4 510K $33.8M $0 $66.31 1
2016 Q3 510K $32.6M $0 $63.94 1
2016 Q2 510K $31.4M $0 $61.64 1
2016 Q1 510K $30.7M $0 $60.23 1
2015 Q4 510K $30.4M $0 $59.51 1
2015 Q3 510K $28.4M $0 $55.66 1
2015 Q2 510K $30.4M -$8.85M $59.57 1
2015 Q1 659K $39.2M $0 $59.46 1
2014 Q4 659K $38.8M $0 $58.96 1
2014 Q3 659K $37.1M $0 $56.25 1
2014 Q2 659K $36.7M $0 $55.68 1
2014 Q1 659K $34.9M $0 $52.96 1