VANGUARD LTD-TERM TX-EX - BOND FUNDS

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / BOND FUNDS
Shares, excl. options Q1 2024
599 K
Holdings value Q1 2024
$6.48 M
Value change Q1 2024
+$1.87 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
4
Number of buys Q1 2024
3
Number of sells Q1 2024
0
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0
CUSIP
922907886
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 599 K $6.48 M +$1.87 M $10.81 4
2023 Q4 424 K $4.6 M -$684 K $10.86 3
2023 Q3 487 K $5.12 M -$3.81 M $10.53 3
2023 Q2 849 K $9.08 M -$37.6 K $10.70 3
2023 Q1 852 K $9.18 M -$159 K $10.77 3
2022 Q4 903 K $9.63 M -$536 K $10.67 4
2022 Q3 953 K $10 M +$2.06 M $10.51 4
2022 Q2 756 K $8.1 M -$78.2 K $10.72 5
2022 Q1 763 K $8.24 M -$1 M $10.80 4
2021 Q4 855 K $9.55 M -$25.8 M $11.17 6
2021 Q3 3.15 M $35.4 M +$24.6 M $11.19 6
2021 Q2 962 K $10.8 M -$60.9 K $11.23 6
2021 Q1 967 K $10.9 M +$3.95 M $11.22 5
2020 Q4 615 K $6.93 M -$458 K $11.26 2
2020 Q3 656 K $7.37 M -$1.16 M $11.23 2
2020 Q2 759 K $8.48 M +$32.8 K $11.17 2
2020 Q1 756 K $8.29 M -$438 K $10.97 2
2019 Q4 796 K $8.82 M +$1.31 M $11.08 2
2019 Q3 678 K $7.5 M +$407 K $11.07 2
2019 Q2 641 K $7.08 M -$1.55 M $11.05 2
2019 Q1 782 K $8.58 M -$1.33 M $10.97 3
2018 Q4 904 K $9.82 M +$362 K $10.86 4
2018 Q3 871 K $9.4 M +$265 K $10.80 5
2018 Q2 846 K $9.18 M +$1.05 M $10.85 4
2018 Q1 749 K $8.11 M -$9.01 M $10.82 2
2017 Q4 1.58 M $17.2 M -$21.8 M $10.89 4
2017 Q3 3.54 M $39 M +$7.32 M $10.99 4
2017 Q2 2.88 M $31.6 M +$24.4 M $10.96 3
2017 Q1 648 K $7.08 M -$672 K $10.92 1
2016 Q4 710 K $7.69 M -$165 K $10.84 1
2016 Q3 724 K $8 M +$511 K $11.05 3
2016 Q2 678 K $7.53 M -$164 K $11.10 3
2016 Q1 692 K $7.64 M +$259 K $11.05 3
2015 Q4 668 K $7.36 M +$189 K $11.01 3
2015 Q3 651 K $7.18 M +$659 K $11.01 3
2015 Q2 591 K $6.49 M -$300 K $10.98 2
2015 Q1 619 K $6.83 M +$747 K $11.04 3
2014 Q4 551 K $6.08 M +$568 K $11.04 2
2014 Q3 499 K $5.53 M +$823 K $11.07 2
2014 Q2 425 K $4.7 M +$262 K $11.07 2
2014 Q1 401 K $4.43 M +$72.5 K $11.08 2