VANGUARD INDEX FDS - SML CP GRW ETF (VBK)

Historical Holders from Q1 2014 to Q1 2025

Symbol
VBK
CUSIP
922908595
Type / Class
Equity / SML CP GRW ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
41.4M
Holdings value
$11.6B
% of all portfolios
0.05%
Grand Portfolio weight change
+0.001%
Number of holders
1098
Number of buys
466
Number of sells
-369
Average Value change %
+0%
Average buys %
+0.005%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANGUARD INDEX FDS - SML CP GRW ETF (VBK)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 3.46M $870M +$8.83M $251.77 260
2024 Q4 41.4M $11.6B +$692M $280.06 1,098
2024 Q3 40.5M $10.8B +$263M $267.37 1,013
2024 Q2 39.5M $9.89B +$330M $250.13 959
2024 Q1 37.9M $9.87B +$557M $260.72 987
2023 Q4 35.7M $8.63B +$338M $241.77 943
2023 Q3 32.2M $6.89B +$101M $214.18 843
2023 Q2 33.6M $7.73B +$196M $229.74 833
2023 Q1 31M $6.7B +$131M $216.41 819
2022 Q4 32.3M $6.5B +$204M $200.54 824
2022 Q3 30.8M $6.02B -$292M $195.13 767
2022 Q2 32.4M $6.41B +$328M $197.03 777
2022 Q1 30.4M $7.54B -$23.9M $248.13 828
2021 Q4 30.8M $8.67B +$222M $281.79 879
2021 Q3 29.3M $8.24B +$455M $280.16 759
2021 Q2 28M $8.12B +$114M $289.79 743
2021 Q1 27.6M $7.58B -$147M $274.65 741
2020 Q4 28.2M $7.54B +$202M $267.66 709
2020 Q3 27.1M $5.82B -$73.3M $214.93 625
2020 Q2 28M $5.58B +$473M $199.60 598
2020 Q1 24.9M $3.74B +$128M $150.30 518
2019 Q4 24.3M $4.82B +$107M $198.70 580
2019 Q3 23.8M $4.33B -$173M $182.04 500
2019 Q2 24.8M $4.61B +$230M $186.21 485
2019 Q1 23.4M $4.21B -$48.5M $179.72 473
2018 Q4 23.8M $3.58B -$92.6M $150.59 444
2018 Q3 23.8M $4.45B +$47M $187.32 429
2018 Q2 23.4M $4.11B +$224M $175.80 400
2018 Q1 22.3M $3.65B +$136M $163.95 385
2017 Q4 21.5M $3.45B -$34.4M $160.85 377
2017 Q3 21.2M $3.24B +$293M $152.64 325
2017 Q2 19.3M $2.82B -$100M $145.73 321
2017 Q1 19.9M $2.79B +$264M $140.67 305
2016 Q4 18M $2.39B +$244M $133.14 294
2016 Q3 15.9M $2.1B +$180M $131.78 275
2016 Q2 14.6M $1.81B +$31.3M $123.90 275
2016 Q1 14.2M $1.69B -$103M $119.00 256
2015 Q4 15.1M $1.83B -$317M $121.44 266
2015 Q3 17.6M $2.08B +$508M $117.78 240
2015 Q2 14.2M $1.9B +$248M $134.24 245
2015 Q1 12.4M $1.63B +$100M $131.78 241
2014 Q4 11.7M $1.47B +$118M $125.94 223
2014 Q3 10.6M $1.27B +$78.1M $120.35 215
2014 Q2 9.81M $1.25B -$193M $127.39 211
2014 Q1 11.1M $1.38B +$112M $124.23 218