VANGUARD WELLESLEY INCOME ADMIRAL - EQUITY FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / EQUITY FUNDS
Price per share
$63.63
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
21,894
Total reported value
$1,392,394
% of total 13F portfolios
0%
Share change
+11,997
Value change
+$763,404
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 5 institutional investors reported holding 21,894 shares of VANGUARD WELLESLEY INCOME ADMIRAL - EQUITY FUNDS.

Institutional Holders of VANGUARD WELLESLEY INCOME ADMIRAL - EQUITY FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 21,894 $1,392,394 +$763,404 $63.63 5
2025 Q2 9,659 $600,301 +$376,919 $62.22 4
2025 Q1 3,625 $220,987 -$376,249 $61.14 3
2024 Q4 9,873 $591,623 -$277,717 $59.99 4
2024 Q3 14,502 $905,529 +$379,344 $62.91 4
2024 Q2 8,385 $506,618 -$4,729,346 $60.49 4
2024 Q1 441 $26,064 -$27,464 $49.43 2
2023 Q4 80,979 $4,893,622 -$289,376,367 $60.46 4
2023 Q3 4,868,719 $288,327,278 -$399,117 $49.61 2
2023 Q2 83,764 $4,945,820 -$423,100 $59.25 4
2023 Q1 90,934 $5,412,870 +$364,301 $59.53 4
2022 Q4 657 $2,283,000 +$35,080 $58.82 3
2022 Q3 60 $2,215,000 -$1,838,999 $29940.66 2
2022 Q2 29,600 $1,842,546 -$141,449 $62.30 4
2022 Q1 31,637 $2,125,546 -$1,235,474 $67.18 5
2021 Q4 49,100 $3,443,703 +$1,263,687 $70.15 5
2021 Q3 31,047 $4,904,000 -$2,790,451 $71.02 5
2021 Q2 70,643 $7,696,000 +$873,780 $71.23 8
2021 Q1 58,109 $6,612,653 +$5,240,697 $68.88 7
2020 Q4 19,928 $1,368,095 -$189,311 $68.63 4
2020 Q3 22,811 $1,538,891 +$752,261 $66.58 4
2020 Q2 11,825 $772,541 +$442,909 $65.34 3
2020 Q1 5,696 $349,061 -$1,439,508 $62.96 2
2019 Q4 27,445 $1,815,550 +$224,243 $66.17 4
2019 Q3 24,063 $1,584,651 +$2,245 $65.83 3
2019 Q2 24,029 $1,549,389 -$2,950,022 $64.50 3
2019 Q1 70,189 $4,457,861 +$282,272 $62.65 5
2018 Q4 21,904 $1,295,605 +$51,994 $59.16 2
2018 Q3 21,025 $1,346,180 +$8,196 $64.03 2
2018 Q2 20,897 $1,315,606 -$201,690 $62.97 2
2018 Q1 23,995 $1,523,743 -$251,399 $63.29 3
2017 Q4 27,846 $1,817,509 +$23,161 $65.29 4
2017 Q3 27,491 $1,774,114 +$210,774 $64.55 4
2017 Q2 26,585 $1,690,684 -$2,256,790 $63.60 4
2017 Q1 62,655 $3,923,257 +$667,440 $62.62 4
2016 Q4 51,994 $3,207,693 +$421,237 $61.67 4
2016 Q3 45,088 $2,853,161 +$1,648,357 $63.27 5
2016 Q2 19,064 $1,201,079 -$1,824 $63.01 4
2016 Q1 16,590 $1,014,902 -$180 $61.16 3
2015 Q4 18,642 $1,107,334 -$148,011 $59.39 4
2015 Q3 19,062 $1,139,781 -$67,386 $59.81 4
2015 Q2 19,972 $1,218,873 -$552,651 $60.88 4
2015 Q1 28,891 $1,798,044 +$649,605 $62.29 6
2014 Q4 18,440 $1,141,656 -$8,305 $61.90 4
2014 Q3 18,562 $1,153,497 -$290,277 $62.14 5
2014 Q2 23,187 $1,454,648 +$4,393 $62.73 5
2014 Q1 25,984 $1,594,539 -$154,635 $61.24 6