Vanguard Target Retirement 2035 Fund - Mutual Fund Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2015 to Q3 2025

Type / Class
Equity / Mutual Fund
Price per share
$8.27
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
255,723
Total reported value
$2,113,997
% of total 13F portfolios
0%
Share change
-27,641
Value change
-$228,500
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 255,723 shares of Vanguard Target Retirement 2035 Fund - Mutual Fund.

Institutional Holders of Vanguard Target Retirement 2035 Fund - Mutual Fund across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 255,723 $2,113,997 -$228,500 $8.27 1
2025 Q2 283,364 $2,110,319 +$1,722,323 $7.45 1
2025 Q1 52,099 $1,249,859 -$5,542,961 $23.99 1
2024 Q4 283,151 $1,923,638 +$1,586,288 $6.79 1
2024 Q3 49,657 $1,247,881 +$1,020,554 $25.13 1
2024 Q2 9,046 $218,081 -$758,751 $24.11 1
2024 Q1 40,519 $943,294 -$54,499 $23.28 1
2023 Q4 42,860 $948,058 -$21,279 $22.12 1
2023 Q3 43,822 $904,049 +$16,483 $20.63 1
2023 Q2 43,023 $918,122 +$918,124 $21.34 1
2021 Q3 0 $0 -$399,761 $8.27 0
2021 Q2 14,542 $399,761 +$399,761 $27.49 1
2020 Q3 291,070 $6,741 $0 $0.02 1
2020 Q2 276,753 $6,030 $0 $0.02 1
2020 Q1 255,340 $4,800 $0 $0.02 1
2019 Q4 250,701 $5,646 $0 $0.02 1
2019 Q2 220,524 $4,730 -$6,000 $0.02 1
2019 Q1 229,363 $10,751 $0 $10.57 2
2018 Q4 224,828 $4,231 $0 $0.02 1
2018 Q3 214,094 $4,594 $0 $0.02 1
2018 Q1 203,485 $4,186 $0 $0.02 1
2017 Q4 199,539 $4,128 -$1,008 $0.02 1
2017 Q3 241,450 $4,877 +$1,007 $0.02 2
2017 Q2 67,669 $1,312,302 +$54,047 $19.41 2
2017 Q1 64,882 $1,214,501 +$34,202 $18.74 2
2016 Q4 63,055 $1,119,000 +$133,808 $17.75 1
2016 Q3 55,515 $1,004,000 -$32,300,398 $18.09 1
2016 Q2 56,462 $33,263,000 +$25,644 $8672.74 2
2016 Q1 53,117 $904,000 +$93,775 $17.02 1
2015 Q4 49,472 $833,403 +$356,266 $16.84 2
2015 Q3 26,459 $448,000 +$448,001 $16.93 1