VANGUARD BD INDEX FDS - MDCP GWT IDX ADM

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MDCP GWT IDX ADM
Shares, excl. options Q1 2024
16.3 K
Holdings value Q1 2024
$1.66 M
Value change Q1 2024
-$1.17 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1
Number of buys Q1 2024
0
Number of sells Q1 2024
-2
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
921937728
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 16.3 K $1.66 M -$1.17 M $101.51 1
2023 Q4 27.9 K $2.64 M -$103 K $94.79 2
2023 Q3 29 K $2.43 M -$542 K $83.79 1
2023 Q2 35.5 K $3.15 M -$704 K $88.60 1
2023 Q1 43.5 K $3.65 M -$473 K $83.96 1
2022 Q4 53.1 K $4.11 M -$196 K $77.42 2
2022 Q3 55.6 K $4.08 M -$168 K $73.35 2
2022 Q2 57.9 K $4.37 M -$3.85 M $75.47 1
2022 Q1 109 K $10.5 M -$480 K $95.92 1
2021 Q4 113 K $12.4 M -$39 K $109.53 4
2021 Q3 114 K $11.6 M -$17.8 K $101.80 2
2021 Q2 114 K $11.6 M +$158 K $101.76 2
2021 Q1 112 K $10.4 M -$231 K $92.31 2
2020 Q4 115 K $10.5 M +$175 K $91.23 2
2020 Q3 109 K $8.47 M +$197 K $77.52 1
2020 Q2 107 K $7.59 M +$1.28 M $71.06 1
2020 Q1 88.8 K $4.84 M +$577 K $54.53 1
2019 Q4 78.2 K $5.34 M +$545 K $68.34 1
2019 Q3 83.5 K $5.32 M +$3.3 M $63.78 3
2019 Q2 31.8 K $2.04 M -$1.98 M $64.31 1
2019 Q1 64.2 K $3.95 M +$1.53 M $61.48 2
2018 Q4 39.4 K $2.03 M -$109 K $51.48 1
2018 Q3 41.5 K $2.55 M +$2.55 M $61.33 1
2016 Q4 88.3 K $4.02 M +$23.6 K $45.47 1
2016 Q3 87.8 K $4.02 M -$50.5 K $45.82 1
2016 Q2 88.9 K $3.9 M -$148 K $43.88 1
2016 Q1 92.3 K $3.98 M $0 $43.14 1
2015 Q4 90 K $3.87 M -$247 K $42.94 1
2015 Q3 95.8 K $4.01 M +$215 K $41.89 1
2015 Q2 90.6 K $4.16 M +$48.2 K $45.85 1
2015 Q1 89.6 K $4.15 M -$114 K $46.36 1
2014 Q4 92 K $4.02 M -$265 K $43.72 1
2014 Q3 98.1 K $4.07 M -$339 K $41.47 1
2014 Q2 106 K $4.41 M +$141 K $41.47 1
2014 Q1 103 K $4.1 M +$10.2 K $39.86 1