VANGUARD HEALTH CARE INV - MFC

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / MFC
Price per share
$222.08
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,996
Total reported value
$664,152
% of total 13F portfolios
0%
Share change
-1,791
Value change
-$332,111
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, VANGUARD HEALTH CARE INV - MFC has 2 institutional shareholders filing 13F forms. They hold 2,996 shares. .

Institutional Holders of VANGUARD HEALTH CARE INV - MFC across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 2,996 $664,152 -$332,111 $222.08 2
2025 Q2 4,787 $950,404 -$547,939 $213.03 2
2025 Q1 7,895 $1,542,670 -$542,690 $180.03 3
2024 Q4 10,961 $2,098,161 -$648,532 $182.40 3
2024 Q3 14,496 $3,385,086 -$111,052 $228.27 3
2024 Q2 15,061 $3,366,427 -$1,136,746 $220.37 3
2024 Q1 2,255 $537,000 +$293,133 $238.39 2
2023 Q4 17,971 $3,757,929 -$26,139 $209.11 1
2023 Q3 1,066 $217,000 -$433,293 $203.56 1
2023 Q2 3,093 $661,293 +$207,293 $213.81 3
2023 Q1 2,123 $435,375 +$229,256 $205.08 2
2022 Q4 1,004 $214,000 +$214,000 $213.15 1
2022 Q3 0 $0 -$202,000 $222.08 0
2022 Q2 1,004 $202,000 $0 $201.20 1
2022 Q1 1,402 $214,085 +$7,463 $106.68 2
2021 Q4 1,353 $220,087 -$779,954 $113.63 2
2021 Q3 4,726 $1,005,089 +$735,000 $231.36 3
2021 Q2 1,551 $274,090 +$273,999 $117.51 2
2021 Q1 390 $83 -$3 $0.21 1
2020 Q4 406 $88 +$5 $0.22 1
2020 Q3 384 $84 -$72,785 $0.22 1
2020 Q2 732 $72,865 -$237,217 $104.68 2
2020 Q1 2,113 $310,071 -$141,400 $90.31 2
2019 Q4 2,781 $498,482 +$141,402 $207.82 4
2019 Q3 2,102 $328,074 -$172,734 $95.56 2
2019 Q2 2,988 $505,809 +$72,731 $193.83 3
2019 Q1 2,651 $451,079 -$38,014 $187.97 3
2018 Q4 2,388 $365,097 -$54,852 $190.00 3
2018 Q3 1,961 $448,000 +$41,935 $229.31 2
2018 Q2 2,163 $359,078 -$9,000 $101.00 2
2018 Q1 2,210 $366,077 -$27,108 $191.49 3
2017 Q4 2,431 $402,097 $0 $191.49 3
2017 Q3 2,431 $418,100 -$957 $191.49 3
2017 Q2 2,436 $415,099 +$10,000 $192.31 3
2017 Q1 2,384 $380,093 -$18,265 $99.37 2
2016 Q4 2,476 $371,087 -$502,940 $92.57 2
2016 Q3 4,437 $922,000 -$180,400 $207.80 3
2016 Q2 5,310 $1,095,746 +$375,673 $206.35 4
2016 Q1 2,646 $518,000 -$499,623 $196.04 3
2015 Q4 5,231 $1,152,727 +$198,272 $220.31 6
2015 Q3 4,157 $888,000 -$1,062,472 $213.72 5
2015 Q2 9,519 $2,012,501 -$257,853 $234.16 5
2015 Q1 10,815 $2,443,000 +$530,450 $226.08 5
2014 Q4 8,468 $1,793,650 +$108,992 $211.84 3
2014 Q3 7,953 $1,691,867 +$218,772 $212.76 3
2014 Q2 6,925 $1,421,230 -$261,269 $205.09 3
2014 Q1 8,201 $1,601,501 -$268,019 $195.23 4