VANGUARD INDEX FDS - EXTN MKT ADMIR

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / EXTN MKT ADMIR
Shares, excl. options Q1 2024
14.7 K
Holdings value Q1 2024
$1.95 M
Value change Q1 2024
+$493 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
5
Number of buys Q1 2024
4
Number of sells Q1 2024
0
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0
CUSIP
922908694
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 14.7 K $1.95 M +$493 K $133.03 5
2023 Q4 11.1 K $1.4 M +$357 K $126.19 5
2023 Q3 8.3 K $903 K +$332 K $108.76 4
2023 Q2 10.4 K $1.18 M -$209 K $112.89 3
2023 Q1 12.4 K $1.32 M +$240 K $106.41 4
2022 Q4 10.1 K $1.02 M +$203 K $100.89 3
2022 Q3 8.13 K $784 K -$531 K $96.44 2
2022 Q2 13.5 K $1.35 M -$282 K $99.61 3
2022 Q1 15.8 K $1.99 M -$57.8 K $125.66 4
2021 Q4 16.3 K $2.25 M +$339 K $138.67 4
2021 Q3 8.71 K $1.21 M -$220 K $138.27 3
2021 Q2 23.6 K $3.35 M +$857 K $143.00 5
2021 Q1 17.5 K $2.35 M +$938 $133.91 3
2020 Q4 17.5 K $2.19 M +$248 K $124.81 3
2020 Q3 15.5 K $1.55 M +$198 K $103.17 2
2020 Q2 13.5 K $1.22 M +$208 K $89.83 2
2020 Q1 11.2 K $771 K -$254 K $68.74 1
2019 Q4 13.9 K $1.33 M +$32.5 K $95.64 2
2019 Q3 13.5 K $1.19 M +$1.19 M $87.90 2
2019 Q2 166 $15.00 +$15.00 $0.09 1
2017 Q4 21.4 K $1.81 M -$60.6 K $84.77 1
2017 Q3 22.1 K $1.79 M +$158 K $81.26 1
2017 Q2 20.1 K $1.56 M +$982 K $77.53 1
2017 Q1 7.64 K $579 K $0 $75.81 1
2016 Q4 7.64 K $555 K +$555 K $72.66 1
2015 Q4 390 $25 K $0 $64.10 1
2015 Q1 11.7 K $822 K +$17.9 K $69.03 2
2014 Q4 11.5 K $764 K +$764 K $66.60 1
2014 Q1 1.63 K $105 K +$105 K $64.42 1