VANGUARD INDEX FDS - SM CP VAL ETF (VBR)

Historical Holders from Q1 2014 to Q1 2025

Symbol
VBR
CUSIP
922908611
Type / Class
Equity / SM CP VAL ETF
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
89.7M
Holdings value
$17.8B
% of all portfolios
0.107%
Grand Portfolio weight change
+0.001%
Number of holders
1546
Number of buys
702
Number of sells
-501
Average Value change %
+0%
Average buys %
+0.007%
Average sells %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANGUARD INDEX FDS - SM CP VAL ETF (VBR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 9.8M $1.83B -$33.1M $186.29 395
2024 Q4 89.7M $17.8B +$313M $198.18 1,546
2024 Q3 89M $17.9B +$356M $200.78 1,408
2024 Q2 87.3M $16B +$66.2M $182.52 1,335
2024 Q1 86.5M $16.6B -$228M $191.88 1,354
2023 Q4 83.1M $14.9B -$225M $179.97 1,334
2023 Q3 87.3M $13.9B +$280M $159.49 1,204
2023 Q2 81.6M $13.5B +$22.5M $165.40 1,201
2023 Q1 85M $13.5B +$5.51M $158.76 1,172
2022 Q4 85.4M $13.6B +$479M $158.80 1,181
2022 Q3 80.5M $11.6B -$261M $143.40 1,059
2022 Q2 82.2M $12.3B -$946M $149.82 1,100
2022 Q1 87.3M $15.4B -$26.5M $175.94 1,119
2021 Q4 87.8M $15.7B +$486M $178.85 1,108
2021 Q3 82.2M $14B +$407M $169.26 967
2021 Q2 80.6M $14B +$249M $173.66 970
2021 Q1 79.3M $13.1B +$1.28B $165.61 951
2020 Q4 71.2M $10.1B +$489M $142.21 879
2020 Q3 66.8M $7.38B +$49.3M $110.63 719
2020 Q2 66M $7.02B +$424M $106.92 692
2020 Q1 61.8M $5.49B +$435M $88.80 667
2019 Q4 56.8M $7.78B +$326M $137.07 756
2019 Q3 54.3M $7.01B +$115M $128.85 673
2019 Q2 54.1M $7.06B +$223M $130.54 668
2019 Q1 52.4M $6.75B +$47.7M $128.73 663
2018 Q4 51.6M $5.88B +$81.7M $114.06 648
2018 Q3 48.8M $6.8B +$425M $139.36 610
2018 Q2 48.1M $6.53B +$52.2M $135.79 599
2018 Q1 47.6M $6.16B +$344M $129.42 582
2017 Q4 44.9M $5.96B +$34.3M $132.78 573
2017 Q3 43.2M $5.52B +$458M $127.79 493
2017 Q2 38.3M $4.7B +$16.9M $122.91 474
2017 Q1 39.3M $4.82B +$378M $122.86 472
2016 Q4 34.9M $4.22B +$337M $121.00 443
2016 Q3 31.1M $3.44B +$181M $110.66 387
2016 Q2 29.6M $3.11B +$760M $105.31 376
2016 Q1 22.2M $2.26B +$183M $101.88 335
2015 Q4 20.4M $2.01B +$81M $98.77 341
2015 Q3 19.3M $1.88B +$189M $96.85 310
2015 Q2 18.1M $1.95B +$135M $107.81 308
2015 Q1 16.8M $1.84B +$186M $109.40 290
2014 Q4 15.4M $1.63B +$177M $105.77 283
2014 Q3 13M $1.29B -$33.7M $99.74 248
2014 Q2 13.2M $1.39B +$104M $105.50 251
2014 Q1 12.2M $1.23B -$110M $100.64 240