VANGUARD BD INDEX FDS - MC VAL IDX ADM S

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MC VAL IDX ADM S
Shares, excl. options Q1 2024
145 K
Holdings value Q1 2024
$11.7 M
Value change Q1 2024
-$80.1 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
2
Number of buys Q1 2024
1
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
921937694
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 145 K $11.7 M -$80.1 K $80.79 2
2023 Q4 146 K $11 M -$46.6 K $75.21 2
2023 Q3 147 K $9.96 M +$940 K $67.86 2
2023 Q2 133 K $9.53 M +$941 K $71.70 1
2023 Q1 120 K $8.32 M +$84.7 K $69.45 1
2022 Q4 119 K $8.31 M -$286 K $70.07 1
2022 Q3 123 K $7.73 M -$41.7 K $63.04 1
2022 Q2 123 K $8.27 M -$826 K $67.09 1
2022 Q1 136 K $10.5 M +$213 K $38.79 2
2021 Q4 137 K $10.6 M -$119 K $77.77 4
2021 Q3 138 K $9.98 M +$473 K $72.36 4
2021 Q2 132 K $9.57 M -$477 K $71.76 4
2021 Q1 139 K $9.63 M -$17.8 K $69.70 4
2020 Q4 138 K $8.52 M +$135 K $61.56 3
2020 Q3 129 K $6.78 M +$149 K $52.48 1
2020 Q2 126 K $6.26 M +$888 K $49.56 1
2020 Q1 109 K $4.59 M +$447 K $42.10 2
2019 Q4 98.6 K $6.09 M +$628 K $61.79 2
2019 Q3 114 K $6.66 M +$4.41 M $58.54 4
2019 Q2 38.4 K $2.22 M +$384 K $57.73 2
2019 Q1 31.8 K $1.78 M +$1.45 M $55.89 3
2018 Q4 5.02 K $248 K -$96.7 K $49.39 1
2018 Q3 6.98 K $409 K -$114 K $58.60 1
2018 Q2 8.93 K $511 K +$2.4 K $57.22 1
2018 Q1 8.89 K $504 K +$2.32 K $56.70 1
2017 Q4 8.85 K $511 K +$511 K $57.75 1
2017 Q1 29 $2 K $0 $68.97 1
2016 Q4 29 $1 K $0 $34.48 1
2016 Q3 29 $1 K +$1 K $34.48 1
2016 Q2 83.5 K $3.85 M -$113 K $46.13 2
2016 Q1 86 K $3.88 M +$45.10 $45.10 2
2015 Q4 84.6 K $3.77 M -$248 K $44.54 2
2015 Q3 90.2 K $3.89 M +$200 K $43.12 2
2015 Q2 85.5 K $4.01 M -$227 K $46.89 1
2015 Q1 90.3 K $4.29 M +$355 K $47.46 2
2014 Q4 82.8 K $3.84 M -$267 K $46.31 1
2014 Q3 88.6 K $3.9 M -$222 K $44.00 1
2014 Q2 93.7 K $4.22 M +$103 K $45.01 1
2014 Q1 91.4 K $3.92 M -$4.8 K $42.89 1