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

Historical Holders from Q1 2014 to Q1 2025

Symbol
VXUS
CUSIP
921909768
Type / Class
Equity / VG TL INTL STK F
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
304M
Holdings value
$17.9B
% of all portfolios
0.103%
Grand Portfolio weight change
+0.001%
Number of holders
1272
Number of buys
663
Number of sells
-393
Average Value change %
+0%
Average buys %
+0.01%
Average sells %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

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

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 30.4M $1.88B +$122M $62.10 323
2024 Q4 304M $17.9B +$711M $58.93 1,272
2024 Q3 288M $18.6B +$1.24B $64.74 1,167
2024 Q2 273M $16.4B +$993M $60.30 1,134
2024 Q1 256M $15.5B +$750M $60.30 1,119
2023 Q4 243M $14.1B +$1.94B $57.96 1,076
2023 Q3 207M $11.1B +$1.16B $53.52 963
2023 Q2 187M $10.5B +$222M $56.08 950
2023 Q1 181M $10B +$98.2M $55.21 924
2022 Q4 188M $9.71B +$2.29B $51.72 890
2022 Q3 150M $6.87B +$204M $45.77 806
2022 Q2 145M $7.49B -$10.8M $51.61 830
2022 Q1 144M $8.59B -$170M $59.74 843
2021 Q4 149M $9.46B +$1.19B $63.57 843
2021 Q3 126M $7.96B +$534M $63.26 706
2021 Q2 119M $7.78B +$525M $65.68 696
2021 Q1 112M $6.99B +$388M $62.70 664
2020 Q4 101M $6.1B +$668M $60.16 623
2020 Q3 94M $4.91B +$93.5M $52.17 545
2020 Q2 92.3M $4.54B +$118M $49.17 503
2020 Q1 86.2M $3.63B -$310M $41.96 497
2019 Q4 94.8M $5.28B +$223M $55.69 508
2019 Q3 89.6M $4.63B +$8.68M $51.66 423
2019 Q2 89.6M $4.72B +$269M $52.75 433
2019 Q1 84.4M $4.38B +$255M $51.90 429
2018 Q4 80M $3.78B +$534M $47.22 412
2018 Q3 64.6M $3.48B +$152M $54.00 392
2018 Q2 62.7M $3.39B +$184M $54.10 368
2018 Q1 59.1M $3.34B -$143M $56.55 355
2017 Q4 61.3M $3.48B +$352M $56.81 341
2017 Q3 53.6M $2.93B -$261M $54.73 292
2017 Q2 58.5M $3.04B +$258M $51.97 273
2017 Q1 53.6M $2.66B +$151M $49.68 257
2016 Q4 49.7M $2.28B -$185M $45.88 243
2016 Q3 54.3M $2.56B +$661M $47.21 210
2016 Q2 40.4M $1.8B -$158M $44.48 210
2016 Q1 43.8M $1.96B +$509M $44.92 182
2015 Q4 32.4M $1.46B +$25.1M $45.11 175
2015 Q3 28.9M $1.28B +$217M $44.32 144
2015 Q2 24M $1.21B +$141M $50.33 152
2015 Q1 21.4M $1.08B +$164M $50.35 139
2014 Q4 18.1M $875M +$163M $48.34 129
2014 Q3 14.7M $746M +$78.5M $51.00 109
2014 Q2 13.8M $752M +$79.6M $54.29 103
2014 Q1 12.4M $645M +$66.9M $52.20 93