VANGUARD LIFESTRATEGY MODERATE GROWTH FUND INVESTOR CLASS - MUTUAL FUND

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / MUTUAL FUND
Price per share
$35.19
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
175,927
Total reported value
$6,192,626
% of total 13F portfolios
0%
Share change
+681
Value change
+$23,961
Avg buy value change
+0%
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 LIFESTRATEGY MODERATE GROWTH FUND INVESTOR CLASS - MUTUAL FUND has 2 institutional shareholders filing 13F forms. They hold 175,927 shares. .

Institutional Holders of VANGUARD LIFESTRATEGY MODERATE GROWTH FUND INVESTOR CLASS - MUTUAL FUND across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 175,927 $6,192,626 +$23,961 3,519.42% 2
2025 Q2 175,246 $5,858,474 -$25,440 3,343% 1
2025 Q1 176,007 $5,526,638 3,140.01% 1
2024 Q4 176,007 $5,514,317 -$279,386 3,133.01% 1
2024 Q3 184,285 $6,228,846 $0 3,380% 2
2024 Q2 8,112 $258,286 $0 3,184% 1
2024 Q1 8,112 $257,799 -$16,398 3,178% 1
2023 Q4 8,628 $262,731 -$71,164 3,045.1% 1
2023 Q3 10,965 $314,477 $0 2,868.01% 1
2023 Q2 10,965 $324,894 -$148,921 2,963.01% 1
2023 Q1 15,991 $462,952 $0 2,895.08% 1
2022 Q4 15,991 $439,000 -$36,485 2,745.29% 1
2022 Q3 17,320 $454,000 -$79,948 2,621.25% 1
2022 Q2 20,370 $568,000 -$31,370 2,788.41% 1
2022 Q1 21,495 $680,000 $0 3,163.53% 1
2021 Q4 21,495 $721,000 -$6,709 3,354.27% 1
2021 Q3 21,695 $724,000 +$147,470 3,337.17% 1
2021 Q2 17,276 $581,000 -$7,079,204 3,363.05% 1
2021 Q1 236,711 $7,637,000 +$557,000 3,227.37% 2
2020 Q4 219,459 $6,946,000 $0 3,165.06% 1
2020 Q3 219,459 $6,516,000 $0 2,969.12% 1
2020 Q2 219,459 $6,195,000 $0 2,822.85% 1
2020 Q1 219,459 $5,517,000 $0 2,513.91% 1
2019 Q4 219,459 $6,334,000 $0 2,886.19% 1
2019 Q3 219,459 $6,114,000 $0 2,785.94% 1
2019 Q2 219,459 $6,046,000 -$21,000 2,754.96% 1
2019 Q1 220,241 $5,933,000 +$1,007,815 2,689.66% 2
2018 Q4 182,048 $4,515,000 $0 2,480.12% 1
2018 Q3 182,048 $5,026,000 $0 2,760.81% 1
2018 Q2 182,048 $4,897,000 +$499,443 2,689.95% 1
2018 Q1 163,481 $4,411,000 $0 2,698.17% 1
2017 Q4 163,481 $4,437,000 $0 2,714.08% 1
2017 Q3 163,481 $4,340,000 $0 2,654.74% 1
2017 Q2 163,481 $4,200,000 +$755,036 2,569.11% 1
2017 Q1 134,092 $3,379,000 $0 2,519.91% 1
2016 Q4 134,092 $3,238,000 $0 2,414.76% 1
2016 Q3 134,092 $3,284,000 -$210,000 2,449.06% 1
2016 Q2 142,957 $3,385,000 +$210,000 2,368.33% 2
2016 Q1 134,092 $3,144,000 +$493,223 2,344.66% 1
2015 Q4 113,056 $2,607,000 $0 2,305.94% 1
2015 Q3 113,056 $2,608,000 -$839,001 2,306.82% 1
2015 Q2 147,652 $3,579,000 +$1,229,901 2,424.36% 2
2015 Q1 96,927 $2,385,000 $0 2,460.61% 1
2014 Q4 96,927 $2,334,000 -$222,000 2,408% 1
2014 Q3 106,212 $2,543,000 -$358,643 2,392.77% 2
2014 Q2 121,212 $2,927,000 +$585,999 2,414.12% 2
2014 Q1 96,927 $2,281,000 +$399,994 2,353.32% 1