VANGUARD SCOTTSDALE FDS - TOTAL CORP BND (VTC)

Historical Holders from Q1 2016 to Q3 2025

Symbol
VTC
CUSIP
92206C573
Type / Class
Equity / TOTAL CORP BND
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
8.86M
Holdings value
$684M
% of all portfolios
0.005%
Grand Portfolio weight change
+0%
Number of holders
114
Number of buys
50
Number of sells
-43
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANGUARD SCOTTSDALE FDS - TOTAL CORP BND (VTC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2.12M $166M +$16M $78.38 30
2025 Q2 8.86M $684M +$25.7M $77.33 114
2025 Q1 8.5M $651M +$3.88M $76.80 109
2024 Q4 8.53M $645M +$49.8M $75.71 112
2024 Q3 7.88M $623M +$8.03M $79.30 96
2024 Q2 7.72M $585M -$7.36M $75.70 100
2024 Q1 7.69M $588M +$83.3M $76.62 99
2023 Q4 171 $13.3K +$13.3K $77.49 1
2023 Q3 6.99M $506M -$183M $72.45 80
2023 Q2 9.1M $688M +$98.3M $75.66 78
2023 Q1 7.79M $597M +$57.3M $76.63 80
2022 Q4 6.93M $525M +$323M $74.23 73
2022 Q3 2.83M $205M +$40.7M $72.57 72
2022 Q2 2.26M $174M -$14.6M $77.06 71
2022 Q1 2.43M $203M +$38.9M $83.51 65
2021 Q4 2.15M $195M +$15.3M $90.69 75
2021 Q3 1.81M $165M -$76.1M $91.24 64
2021 Q2 2.64M $243M +$16.8M $92.00 61
2021 Q1 1.92M $171M +$18.5M $89.40 63
2020 Q4 1.7M $160M +$3.88M $94.15 69
2020 Q3 1.49M $137M +$38.3M $92.17 62
2020 Q2 1.07M $98M +$14.5M $91.88 51
2020 Q1 911K $77.8M +$23.9M $85.39 42
2019 Q4 622K $55.1M +$9.23M $88.58 31
2019 Q3 507K $44.9M +$17.1M $88.46 26
2019 Q2 314K $27.2M +$4.02M $86.73 24
2019 Q1 268K $22.5M +$9.59M $83.75 15
2018 Q4 158K $12.7M +$3.49M $80.01 10
2018 Q3 114K $9.25M +$3.43M $81.13 9
2018 Q2 71.8K $5.82M +$2.92M $81.13 12
2018 Q1 35.8K $2.95M +$1.05M $82.57 7
2017 Q4 25.7K $2.19M +$1.96M $85.08 6
2016 Q1 58 $5K $0 $86.21 1