VANG INST'L INDEX FD - Mutual Funds Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Mutual Funds
Price per share
$551.90
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
387,644
Total reported value
$210,773,419
% of total 13F portfolios
0%
Share change
-7,814
Value change
-$4,248,842
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 387,644 shares of VANG INST'L INDEX FD - Mutual Funds.

Institutional Holders of VANG INST'L INDEX FD - Mutual Funds across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 368,076 $203,207,483 +$2,101,795 $551.90 2
2025 Q3 387,644 $210,773,419 -$4,248,842 $543.72 5
2025 Q2 395,525 $199,475,092 -$44,126,842 $504.33 5
2025 Q1 493,042 $224,842,004 +$8,337,608 $456.03 6
2024 Q4 474,759 $227,362,360 +$10,018,614 $478.90 6
2024 Q3 453,839 $215,187,907 +$8,456,949 $474.15 6
2024 Q2 436,003 $196,162,165 -$1,004,470 $449.24 6
2024 Q1 438,227 $189,471,978 +$15,455,125 $432.37 5
2023 Q4 402,481 $158,368,154 +$4,594,493 $393.48 5
2023 Q3 390,804 $139,873,241 -$182,944,059 $357.91 4
2023 Q2 901,948 $335,020,052 +$220,208,755 $371.44 4
2023 Q1 309,097 $106,008,296 -$2,402,445 $342.97 3
2022 Q4 316,102 $101,668,888 -$2,656,044 $321.63 3
2022 Q3 324,360 $98,474,000 -$2,292,732 $303.62 3
2022 Q2 331,912 $106,414,000 +$422,250 $320.58 3
2022 Q1 330,323 $126,769,000 -$723,409 $383.78 4
2021 Q4 332,025 $134,733,000 +$3,901,696 $405.79 5
2021 Q3 322,410 $121,323,000 +$1,970,642 $376.28 5
2021 Q2 317,173 $119,061,000 +$2,778,208 $375.38 5
2021 Q1 309,771 $107,490,000 -$3,710,478 $346.97 4
2020 Q4 320,464 $106,224,000 +$3,565,636 $331.46 4
2020 Q3 307,148 $92,117,000 +$4,689,211 $299.91 3
2020 Q2 291,512 $80,604,000 +$690,426 $276.51 2
2020 Q1 289,015 $66,627,000 +$843,199 $230.54 2
2019 Q4 285,155 $82,762,000 +$4,479,656 $290.26 3
2019 Q3 269,721 $72,652,000 -$34,348,750 $269.35 2
2019 Q2 399,015 $106,261,000 +$44,215,384 $266.30 3
2019 Q1 234,190 $60,039,000 +$2,768,120 $256.35 4
2018 Q4 223,391 $50,833,000 +$2,997,837 $227.55 3
2018 Q3 209,978 $55,743,000 -$28,378,913 $265.41 4
2018 Q2 327,197 $81,064,000 +$37,312,836 $247.90 4
2018 Q1 176,590 $42,493,000 -$1,191,375 $240.45 2
2017 Q4 181,541 $44,199,000 -$2,225,229 $243.60 2
2017 Q3 190,683 $43,753,490 -$1,100,257 $229.46 3
2017 Q2 195,478 $43,159,169 +$110,616 $220.78 3
2017 Q1 194,977 $41,945,960 +$6,393,520 $215.14 3
2016 Q4 165,258 $33,685,000 +$20,083,387 $203.90 2
2016 Q3 66,729 $13,220,000 +$4,536,029 $198.12 2
2016 Q2 43,833 $8,407,000 +$154,963 $191.99 2
2016 Q1 43,025 $8,094,000 -$127,351 $188.34 2
2015 Q4 43,702 $8,156,000 -$123,918 $186.69 2
2015 Q3 44,366 $7,783,000 -$187,426 $175.65 2
2015 Q2 45,434 $8,564,000 -$3,217,773 $188.53 2
2015 Q1 62,498 $11,802,000 -$7,139,060 $188.84 2
2014 Q4 100,301 $18,924,000 -$11,688,114 $188.67 2
2014 Q3 164,960 $29,825,000 -$746,659 $180.80 3
2014 Q2 169,090 $30,378,000 +$190,263 $179.66 3
2014 Q1 168,031 $28,817,000 -$3,833,357 $171.50 3