VANGUARD STAR FDS - VG TL INTL STK F (VXUS)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / VG TL INTL STK F
Symbol
VXUS
Price per share
$75.44
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
351,864,875
Total reported value
$25,833,753,652
% of total 13F portfolios
0.16%
Share change
+3,741,989
Value change
+$274,320,366
Avg buy value change
+0.01%
Avg sell value change
-0.01%
Number of holders
1,442
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, VANGUARD STAR FDS - VG TL INTL STK F (VXUS) has 1,442 institutional shareholders filing 13F forms. They hold 351,864,875 shares. .

Institutional Holders of VANGUARD STAR FDS - VG TL INTL STK F (VXUS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 7,040,111 $538,302,781 -$14,699,063 7,544% 84
2025 Q3 351,864,875 $25,833,753,652 +$274,320,366 7,346% 1,442
2025 Q2 333,809,554 $23,061,508,586 +$410,707,371 6,909% 1,390
2025 Q1 344,524,224 $21,398,746,662 +$2,429,069,764 6,210% 1,332
2024 Q4 304,170,050 $17,931,522,310 +$719,036,696 5,893% 1,274
2024 Q3 287,944,494 $18,633,151,901 +$1,235,256,268 6,474% 1,167
2024 Q2 272,770,435 $16,431,634,142 +$993,178,669 6,030% 1,134
2024 Q1 256,294,677 $15,452,367,948 +$749,841,640 6,030% 1,119
2023 Q4 772,951 $45,917,944 -$368,117 5,796% 18
2023 Q3 206,692,178 $11,064,733,278 +$1,156,150,937 5,352% 963
2023 Q2 186,654,461 $10,453,344,371 +$222,119,920 5,608% 950
2023 Q1 181,477,351 $10,004,366,259 +$98,187,562 5,521% 924
2022 Q4 187,928,836 $9,713,471,704 +$2,289,401,519 5,172% 890
2022 Q3 150,009,916 $6,869,467,114 +$204,165,869 4,577% 806
2022 Q2 145,008,246 $7,485,603,912 -$10,789,827 5,161% 830
2022 Q1 143,959,914 $8,590,903,489 -$169,540,024 5,973.95% 843
2021 Q4 148,983,970 $9,456,594,512 +$1,187,450,095 6,356.96% 843
2021 Q3 125,984,652 $7,958,029,943 +$534,328,925 6,326.01% 706
2021 Q2 118,675,362 $7,781,231,772 +$524,733,261 6,568% 696
2021 Q1 111,575,754 $6,988,690,859 +$388,059,439 6,269.98% 664
2020 Q4 101,386,313 $6,097,083,894 +$667,898,327 6,016.01% 623
2020 Q3 94,030,218 $4,907,648,735 +$93,503,163 5,217.01% 545
2020 Q2 92,265,764 $4,540,550,629 +$117,948,226 4,916.99% 503
2020 Q1 86,223,950 $3,630,090,948 -$310,462,128 4,195.99% 497
2019 Q4 94,780,360 $5,280,241,277 +$223,220,989 5,568.99% 508
2019 Q3 89,639,406 $4,632,422,007 +$8,680,460 5,166% 423
2019 Q2 89,590,092 $4,724,731,681 +$268,825,791 5,274.95% 433
2019 Q1 84,391,354 $4,380,653,321 +$254,687,877 5,190% 429
2018 Q4 79,957,887 $3,777,517,658 +$533,957,717 4,721.98% 412
2018 Q3 64,569,424 $3,483,703,680 +$151,817,236 5,400.01% 392
2018 Q2 62,729,953 $3,394,682,336 +$183,835,766 5,409.97% 368
2018 Q1 59,088,562 $3,341,867,169 -$142,683,176 5,654.94% 355
2017 Q4 61,285,925 $3,482,827,082 +$351,784,941 5,680.97% 341
2017 Q3 53,589,345 $2,932,817,053 -$260,861,281 5,473% 292
2017 Q2 58,519,983 $3,041,403,386 +$257,713,997 5,196.93% 273
2017 Q1 53,573,833 $2,661,899,377 +$150,508,448 4,967.95% 257
2016 Q4 49,718,816 $2,282,601,158 -$185,244,158 4,588% 243
2016 Q3 54,321,580 $2,564,840,448 +$660,978,601 4,720.89% 210
2016 Q2 40,400,586 $1,796,663,597 -$158,213,423 4,447.85% 210
2016 Q1 43,753,741 $1,964,549,942 +$508,505,925 4,491.98% 182
2015 Q4 32,353,719 $1,456,687,102 +$25,110,441 4,510.87% 175
2015 Q3 28,882,740 $1,281,616,362 +$216,683,047 4,431.98% 144
2015 Q2 24,033,547 $1,209,571,409 +$140,968,196 5,032.99% 152
2015 Q1 21,446,451 $1,080,841,766 +$164,137,191 5,034.99% 139
2014 Q4 18,102,128 $874,916,677 +$163,066,057 4,833.96% 129
2014 Q3 14,677,427 $746,282,190 +$78,505,253 5,099.97% 109
2014 Q2 13,844,449 $751,511,802 +$79,596,045 5,428.91% 103
2014 Q1 12,354,585 $644,936,227 +$66,858,823 5,219.83% 93