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

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / LG-TERM COR BD
Shares, excl. options Q1 2024
63.8 M
Holdings value Q1 2024
$4.99 B
Value change Q1 2024
+$999 M
Grand Portfolio weight change Q1 2024
+0.002%
Number of holders
286
Number of buys Q1 2024
168
Number of sells Q1 2024
-120
Average buys Q1 2024 %
+0.009%
Average sells Q1 2024 %
-0.006%
CUSIP
92206C813
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 63.8 M $4.99 B +$999 M $78.23 288
2023 Q4 51.4 M $4.12 B -$603 M $80.15 272
2023 Q3 58.2 M $4.17 B +$492 M $71.62 234
2023 Q2 53.9 M $4.23 B +$267 M $78.49 239
2023 Q1 50.5 M $4.03 B +$470 M $79.72 220
2022 Q4 44.6 M $3.37 B +$135 M $75.71 217
2022 Q3 43 M $3.15 B +$180 M $73.24 202
2022 Q2 40.5 M $3.28 B +$145 M $81.11 206
2022 Q1 38.1 M $3.57 B +$429 M $93.67 211
2021 Q4 33.5 M $3.54 B -$55.4 M $105.84 215
2021 Q3 32.5 M $3.42 B +$65.1 M $105.58 195
2021 Q2 31.8 M $3.4 B +$86.5 M $106.94 195
2021 Q1 31 M $3.14 B +$93.2 M $101.25 199
2020 Q4 26.9 M $2.99 B +$296 M $111.07 196
2020 Q3 23.6 M $2.52 B +$473 M $106.88 181
2020 Q2 19.8 M $2.1 B -$6.3 M $106.29 173
2020 Q1 20.3 M $1.98 B +$3.45 M $97.13 161
2019 Q4 20.3 M $2.05 B +$63.6 M $101.36 172
2019 Q3 19.3 M $1.96 B +$157 M $101.14 154
2019 Q2 17.8 M $1.73 B +$193 M $96.87 136
2019 Q1 15.4 M $1.4 B +$248 M $91.53 131
2018 Q4 13.1 M $1.1 B -$34.8 M $85.18 128
2018 Q3 12.6 M $1.11 B +$293 M $87.99 125
2018 Q2 10.2 M $894 M +$136 M $87.57 120
2018 Q1 8.66 M $791 M -$251 M $91.36 128
2017 Q4 10.9 M $1.04 B +$201 M $95.75 139
2017 Q3 8.67 M $816 M +$63.3 M $94.17 113
2017 Q2 8 M $746 M +$110 M $93.30 106
2017 Q1 6.76 M $607 M -$234 M $89.90 102
2016 Q4 9.46 M $845 M +$203 M $89.35 98
2016 Q3 7.11 M $680 M +$95.5 M $95.70 96
2016 Q2 6.07 M $574 M +$33.6 M $94.54 90
2016 Q1 5.7 M $510 M -$93.2 M $89.45 85
2015 Q4 6.87 M $578 M +$60 M $84.18 83
2015 Q3 6.1 M $525 M +$86.8 M $86.03 68
2015 Q2 5.1 M $435 M -$192 M $85.31 71
2015 Q1 7.27 M $684 M +$193 M $94.10 78
2014 Q4 5.14 M $475 M +$46.5 M $92.42 61
2014 Q3 4.26 M $381 M -$5.55 M $89.52 53
2014 Q2 4.32 M $390 M +$82.4 M $90.25 55
2014 Q1 3.41 M $297 M +$24.2 M $87.26 46