VANGUARD EMERGING MKTS STOCK IDX ADM - EQUITY FUNDS

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / EQUITY FUNDS
Price per share
$44.61
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
78,698
Holdings value
$3,530,410
% of all portfolios
0%
Share change
-20,384
Value change
-$835,258
Average buys %
+0%
Average sells %
-0%
Number of holders
6
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, VANGUARD EMERGING MKTS STOCK IDX ADM - EQUITY FUNDS has 6 institutional shareholders filing 13F forms. They hold 78,698 shares .

Institutional Holders of VANGUARD EMERGING MKTS STOCK IDX ADM - EQUITY FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 55,179 $2,461,609 +$77,981 $44.61 1
2025 Q3 78,698 $3,530,410 -$835,258 $44.86 6
2025 Q2 99,082 $4,058,356 +$237,210 $40.96 4
2025 Q1 93,625 $3,511,869 -$2,677,145 $37.51 5
2024 Q4 166,665 $6,128,454 +$1,248,302 $36.77 4
2024 Q3 132,715 $5,280,684 -$1,884,036 $39.79 3
2024 Q2 184,741 $6,744,690 -$175,231 $36.51 6
2024 Q1 189,541 $6,595,614 -$132,631 $34.80 5
2023 Q4 193,355 $6,599,988 -$4,250,704 $34.12 4
2023 Q3 317,611 $10,405,264 -$3,024,906 $32.76 3
2023 Q2 409,946 $13,835,984 +$3,342,573 $33.75 3
2023 Q1 310,907 $10,433,901 +$4,923,241 $33.56 3
2022 Q4 171,674 $5,563,690 -$610,047 $32.41 4
2022 Q3 190,894 $5,811,000 -$197,020 $30.44 5
2022 Q2 196,216 $6,781,000 -$550,111 $34.55 5
2022 Q1 212,132 $8,132,000 -$1,650,946 $38.33 5
2021 Q4 251,871 $10,328,000 -$1,568,170 $41.01 7
2021 Q3 290,124 $12,060,000 -$678,699 $41.57 6
2021 Q2 306,445 $13,822,000 -$159,810 $45.11 7
2021 Q1 309,986 $13,363,000 +$787,182 $43.11 6
2020 Q4 291,726 $12,159,000 -$302,444 $41.68 6
2020 Q3 238,878 $8,569,000 +$3,759,112 $35.87 3
2020 Q2 134,086 $4,456,000 -$1,275,050 $33.28 2
2020 Q1 172,804 $4,810,000 -$917,310 $27.87 3
2019 Q4 274,340 $10,137,000 -$2,573,057 $36.96 6
2019 Q3 345,861 $11,623,000 -$8,299,183 $33.59 8
2019 Q2 592,777 $20,923,000 +$774,846 $35.29 6
2019 Q1 570,732 $20,139,000 +$8,311,985 $35.28 6
2018 Q4 335,241 $10,646,000 +$182,942 $31.76 7
2018 Q3 329,107 $11,229,000 +$4,521,141 $34.12 6
2018 Q2 196,583 $6,906,000 +$35,865 $35.13 5
2018 Q1 194,164 $7,540,000 -$916,101 $38.84 6
2017 Q4 218,483 $8,341,000 -$1,641,441 $38.18 6
2017 Q3 261,496 $9,437,000 -$211,885 $36.09 5
2017 Q2 357,983 $12,097,000 +$3,201,253 $33.69 6
2017 Q1 263,129 $8,669,000 -$3,398,770 $32.95 5
2016 Q4 373,693 $11,129,000 +$2,972,153 $29.78 6
2016 Q3 273,871 $8,522,000 +$876,903 $31.12 6
2016 Q2 246,120 $7,190,000 +$59,531 $29.20 6
2016 Q1 244,174 $7,017,000 -$580,431 $28.74 6
2015 Q4 266,644 $7,263,000 +$268,103 $27.33 6
2015 Q3 256,648 $7,083,000 -$41,707,462 $27.57 6
2015 Q2 1,477,286 $50,428,000 +$2,421,515 $34.15 7
2015 Q1 1,406,412 $47,683,000 +$5,402,338 $33.89 8
2014 Q4 1,247,619 $41,484,000 +$34,994,365 $33.25 5
2014 Q3 195,144 $6,768,000 +$5,334,350 $34.68 3
2014 Q2 41,336 $1,485,000 +$1,471,998 $36.17 2
2014 Q1 357 $12,000 -$1,776,998 $33.61 1