VANGUARD SPECIALIZED FUNDS - DIV GRW FD

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / DIV GRW FD
Price per share
$32.85
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,073,899
Total reported value
$39,562,469
% of total 13F portfolios
0%
Share change
-117,821
Value change
-$4,333,818
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
11
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, VANGUARD SPECIALIZED FUNDS - DIV GRW FD has 11 institutional shareholders filing 13F forms. They hold 1,073,899 shares. .

Institutional Holders of VANGUARD SPECIALIZED FUNDS - DIV GRW FD across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 399,917 $13,137,307 -$2,138,410 3,285.01% 1
2025 Q3 1,073,899 $39,562,469 -$4,333,818 3,684% 11
2025 Q2 1,191,716 $43,281,382 -$34,464,610 3,631.99% 11
2025 Q1 2,140,681 $75,628,605 -$5,278,852 3,533% 12
2024 Q4 2,290,318 $82,929,973 +$1,653,873 3,620.88% 12
2024 Q3 2,244,096 $93,803,186 +$1,684,368 4,179.99% 11
2024 Q2 2,206,198 $84,099,242 -$1,658,390 3,811.97% 12
2024 Q1 1,820,683 $71,043,095 -$217,094 3,902% 5
2023 Q4 401,757 $14,949,386 +$179,055 3,721% 1
2023 Q3 2,245,090 $77,397,700 +$1,089,057 3,422.04% 10
2023 Q2 1,845,771 $66,807,646 +$6,151,156 3,619.92% 7
2023 Q1 1,676,680 $59,069,365 +$20,333,664 3,522.98% 6
2022 Q4 1,092,703 $38,494,657 -$744,314 3,523% 6
2022 Q3 1,115,576 $35,667,000 -$702,311 3,196.98% 9
2022 Q2 1,129,276 $38,205,000 +$1,093,872 3,384.28% 8
2022 Q1 1,111,265 $41,125,537 -$1,590,189 3,749.06% 7
2021 Q4 1,149,415 $44,601,548 +$5,551,356 3,927.99% 9
2021 Q3 1,008,080 $36,505,512 -$3,028,984 3,672.69% 6
2021 Q2 1,127,274 $40,635,330 +$1,245,944 3,645.92% 9
2021 Q1 1,093,065 $37,162,483 +$491,977 3,443.96% 6
2020 Q4 1,079,417 $35,406,473 -$640,458 3,320.25% 5
2020 Q3 1,099,006 $33,788,434 -$1,235,192 3,113.15% 5
2020 Q2 1,138,956 $31,879,003 -$1,384,771 2,833.5% 5
2020 Q1 1,211,447 $30,237,353 -$5,664,157 2,524.98% 5
2019 Q4 1,386,122 $41,932,980 +$7,139,633 3,055.9% 8
2019 Q3 1,152,577 $34,587,424 +$5,419,788 3,035.45% 8
2019 Q2 974,058 $28,199,410 +$2,947,394 2,937% 5
2019 Q1 874,702 $23,946,388 +$234,805 2,780.85% 4
2018 Q4 868,178 $20,894,370 +$1,846,469 2,443.97% 6
2018 Q3 770,085 $22,085,000 -$369,006 2,866.93% 6
2018 Q2 796,871 $20,779,370 -$1,080,256 2,654.06% 5
2018 Q1 837,735 $21,390,366 -$1,607,211 2,596.01% 5
2017 Q4 898,918 $23,496,370 -$591,926 2,653.35% 6
2017 Q3 910,546 $23,375,364 -$322,423 2,607.85% 6
2017 Q2 937,133 $23,421,423 -$15,704,580 2,535.62% 5
2017 Q1 1,556,851 $38,064,274 +$344,590 2,466.97% 6
2016 Q4 1,543,897 $35,848,327 +$1,772,558 2,344.58% 6
2016 Q3 1,454,278 $34,322,000 +$1,177,376 2,364.8% 5
2016 Q2 1,404,454 $32,879,112 +$3,926,335 2,341.06% 6
2016 Q1 1,228,810 $28,237,000 +$6,099,144 2,294.72% 6
2015 Q4 968,083 $21,713,877 +$6,731,313 2,243.17% 10
2015 Q3 588,851 $12,743,000 +$10,947,071 2,164.09% 5
2015 Q2 82,844 $1,820,855 -$2,260,106 2,235.08% 5
2015 Q1 182,107 $4,176,000 +$1,610,833 2,294.09% 7
2014 Q4 111,739 $2,577,866 -$317,807 2,305.11% 6
2014 Q3 126,283 $2,825,855 -$47,306 2,236.56% 6
2014 Q2 128,516 $2,838,234 +$1,118,847 2,207.85% 7
2014 Q1 77,861 $1,689,855 -$806,278 2,171.35% 4