Vanguard Health Care Adm - Equities

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Equities
Price per share
$86.26
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
8,297
Total reported value
$645,256
% of total 13F portfolios
0%
Share change
-6,170
Value change
-$458,918
Avg sell value change
-0%
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Vanguard Health Care Adm - Equities has 2 institutional shareholders filing 13F forms. They hold 8,297 shares. .

Institutional Holders of Vanguard Health Care Adm - Equities across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 2,460 $212,199 +$212,199 8,625.98% 1
2025 Q3 8,297 $645,256 -$458,918 7,776.9% 2
2025 Q2 14,467 $1,060,678 +$101,713 7,331.71% 4
2025 Q1 13,079 $996,427 -$139,027 7,590.82% 3
2024 Q4 14,885 $1,144,601 -$371,846 7,689.9% 4
2024 Q3 18,665 $1,795,518 +$603,002 9,620.87% 6
2024 Q2 12,397 $1,151,400 +$191,304 9,281.97% 5
2024 Q1 10,238 $921,940 -$250,146 9,005.7% 4
2023 Q4 13,188 $1,163,460 -$213,629 8,818.56% 7
2023 Q3 20,419 $1,774,528 +$82,805 8,597.61% 6
2023 Q2 13,304 $1,198,420 -$247,879 9,006.1% 6
2023 Q1 16,172 $1,397,067 +$271,126 8,642.92% 7
2022 Q4 22,990 $2,065,862 -$376,055 8,988.35% 6
2022 Q3 27,625 $2,260,875 +$411,118 8,183.38% 6
2022 Q2 22,605 $1,912,984 +$222,000 8,464.22% 5
2022 Q1 19,987 $1,791,104 +$43,112 8,961.88% 4
2021 Q4 19,506 $1,870,322 -$177,793 9,588.15% 4
2021 Q3 21,324 $2,067,917 $0 9,763.17% 5
2021 Q2 21,438 $2,119,462 +$207,000 9,888.3% 5
2021 Q1 19,347 $1,727,655 -$662,371 8,929.87% 4
2020 Q4 26,617 $2,421,061 +$593,365 9,100.25% 7
2020 Q3 20,000 $1,813,993 +$320,943 9,188.07% 4
2020 Q2 16,508 $1,456,917 $0 8,825.91% 3
2020 Q1 16,508 $1,254,993 +$26,152 7,602.34% 3
2019 Q4 16,164 $1,419,407 +$587,206 8,782.7% 3
2019 Q3 9,477 $766,000 -$252,000 8,081.53% 2
2019 Q2 12,542 $1,031,000 +$18,742 8,220.75% 3
2019 Q1 12,314 $1,021,000 -$379,711 8,290.78% 3
2018 Q4 17,040 $1,368,711 -$35,294 8,030.31% 4
2018 Q3 17,479 $1,682,922 $0 9,627.63% 4
2018 Q2 17,479 $1,487,961 +$5,573 8,513.92% 4
2018 Q1 17,419 $1,475,146 -$562,882 8,469% 5
2017 Q4 23,918 $2,073,478 +$125,475 8,666.95% 6
2017 Q3 22,316 $2,013,233 -$370,907 9,024.3% 6
2017 Q2 26,478 $2,364,099 +$479,729 8,926.81% 8
2017 Q1 26,117 $2,189,416 -$169,152 8,383.28% 6
2016 Q4 28,262 $2,203,465 +$427,322 7,795.62% 8
2016 Q3 22,115 $1,941,119 +$219,000 8,777.67% 7
2016 Q2 19,624 $1,709,581 -$1,022,811 8,714.66% 6
2016 Q1 32,218 $2,663,456 -$785,888 8,265.64% 7
2015 Q4 51,082 $4,747,298 +$953,478 9,294.53% 9
2015 Q3 35,807 $3,224,999 -$240,183 9,005.16% 6
2015 Q2 43,733 $4,274,771 -$539,791 9,884.05% 8
2015 Q1 50,575 $4,815,457 +$1,700,197 9,521.88% 8
2014 Q4 32,723 $2,921,857 +$1,096,543 8,930.18% 6
2014 Q3 20,446 $1,834,979 -$50,902 8,975.38% 5
2014 Q2 21,013 $1,820,385 +$259,020 8,662.71% 5
2014 Q1 18,023 $1,484,220 +$132,638 8,235.71% 5