VANGUARD INDEX FDS LCP INDX AD - MF

Historical Portfolio Holders from Q2 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / MF
Shares, excl. options Q1 2024
10.4 K
Holdings value Q1 2024
$1.26 M
Value change Q1 2024
-$85.3 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
2
Number of buys Q1 2024
0
Number of sells Q1 2024
-1
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
922908579
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 10.4 K $1.24 M -$85.3 K $115.80 2
2023 Q4 9.67 K $1.07 M $0 $110.26 1
2023 Q3 9.67 K $956 K -$484 K $98.90 1
2023 Q2 14.4 K $1.48 M +$394 K $102.40 2
2023 Q1 10.6 K $998 K $0 $94.42 1
2022 Q4 10.6 K $930 K -$34.7 K $87.98 1
2022 Q3 11 K $905 K -$20.1 K $82.55 1
2022 Q2 11.2 K $975 K $0 $87.01 1
2022 Q1 11.2 K $1.18 M -$182 K $105.03 1
2021 Q4 12.9 K $1.44 M $0 $111.32 1
2021 Q3 12.9 K $1.31 M -$111 K $101.42 1
2021 Q2 14 K $1.42 M -$108 K $101.41 1
2021 Q1 15.1 K $1.41 M $0 $93.47 1
2020 Q4 15.1 K $1.34 M -$1.78 K $88.77 1
2020 Q3 15.1 K $1.2 M $0 $79.06 1
2020 Q2 15.1 K $1.09 M $0 $72.31 1
2020 Q1 15.1 K $904 K $0 $59.81 1
2019 Q4 15.1 K $1.13 M -$14 K $74.69 1
2019 Q3 15.3 K $1.06 M $0 $69.97 2
2019 Q2 15.1 K $1.03 M $0 $68.08 1
2019 Q1 15.1 K $991 K $0 $65.56 1
2018 Q4 15.3 K $887 K +$11 K $56.90 2
2018 Q3 15.1 K $1.02 M $0 $67.42 1
2018 Q2 15.1 K $952 K $0 $62.98 1
2018 Q1 15.1 K $925 K -$204 K $61.20 1
2017 Q4 18.4 K $1.14 M +$204 K $61.81 2
2017 Q3 15.1 K $881 K -$259 K $58.29 1
2017 Q2 19.7 K $1.11 M +$881 K $56.10 2
2017 Q1 5.33 K $291 K -$558 K $54.60 2
2016 Q4 16.1 K $833 K -$28.4 K $51.65 3
2016 Q3 16.7 K $836 K -$36.6 K $50.10 3
2016 Q2 17.4 K $843 K -$1.82 M $48.42 3
2016 Q1 55.8 K $2.65 M -$567 K $47.46 4
2015 Q4 67.4 K $3.18 M -$492 K $47.24 4
2015 Q3 77.8 K $3.46 M -$537 K $44.48 3
2015 Q2 89.9 K $4.31 M +$445 K $47.94 2
2015 Q1 80.6 K $3.88 M $0 $48.06 1
2014 Q4 80.6 K $3.84 M $0 $47.66 1
2014 Q3 80.6 K $3.68 M $0 $45.67 1
2014 Q2 80.6 K $3.67 M +$3.67 M $45.46 1