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Anchor Capital Advisors’s Vanguard Short-Term Corporate Bond ETF VCSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$6.34M Sell
79,805
-4,995
-6% -$397K 0.19% 103
2025
Q1
$6.69M Sell
84,800
-8,690
-9% -$686K 0.2% 105
2024
Q4
$7.29M Sell
93,490
-2,330
-2% -$182K 0.21% 108
2024
Q3
$7.61M Sell
95,820
-20,360
-18% -$1.62M 0.2% 107
2024
Q2
$8.98M Sell
116,180
-2,596
-2% -$201K 0.25% 103
2024
Q1
$9.18M Buy
118,776
+565
+0.5% +$43.7K 0.24% 104
2023
Q4
$9.15M Sell
118,211
-8,134
-6% -$629K 0.24% 98
2023
Q3
$9.49M Sell
126,345
-2,373
-2% -$178K 0.27% 93
2023
Q2
$9.74M Sell
128,718
-972
-0.7% -$73.5K 0.25% 102
2023
Q1
$9.89M Sell
129,690
-97,524
-43% -$7.43M 0.26% 99
2022
Q4
$17.1M Buy
227,214
+10,492
+5% +$789K 0.44% 71
2022
Q3
$16.1M Sell
216,722
-16,718
-7% -$1.24M 0.44% 75
2022
Q2
$17.8M Sell
233,440
-11,795
-5% -$899K 0.45% 73
2022
Q1
$19.2M Sell
245,235
-136,608
-36% -$10.7M 0.41% 85
2021
Q4
$31M Sell
381,843
-4,798
-1% -$390K 0.61% 62
2021
Q3
$31.9M Buy
386,641
+33,664
+10% +$2.77M 0.66% 58
2021
Q2
$29.2M Buy
352,977
+9,315
+3% +$770K 0.59% 64
2021
Q1
$28.4M Buy
343,662
+13,307
+4% +$1.1M 0.6% 63
2020
Q4
$27.5M Sell
330,355
-50,535
-13% -$4.21M 0.63% 63
2020
Q3
$31.6M Sell
380,890
-40,711
-10% -$3.37M 0.8% 51
2020
Q2
$34.9M Sell
421,601
-74,651
-15% -$6.17M 0.9% 50
2020
Q1
$39.3M Buy
496,252
+17,138
+4% +$1.36M 1.16% 34
2019
Q4
$38.8M Buy
479,114
+241,047
+101% +$19.5M 0.84% 51
2019
Q3
$19.3M Sell
238,067
-5,342
-2% -$433K 0.7% 67
2019
Q2
$19.6M Sell
243,409
-358,663
-60% -$28.9M 0.71% 64
2019
Q1
$48K Sell
602,072
-58,073
-9% -$4.63K 1.01% 9
2018
Q4
$51.5M Sell
660,145
-44,826
-6% -$3.49M 2.09% 1
2018
Q3
$55.1M Sell
704,971
-113,461
-14% -$8.87M 2% 3
2018
Q2
$63.9M Sell
818,432
-152,311
-16% -$11.9M 2.35% 1
2018
Q1
$76.1M Sell
970,743
-72,108
-7% -$5.66M 2.65% 1
2017
Q4
$82.7M Sell
1,042,851
-49,121
-4% -$3.9M 2.92% 1
2017
Q3
$87.5M Sell
1,091,972
-12,264
-1% -$983K 3.15% 1
2017
Q2
$88.4M Buy
1,104,236
+12,043
+1% +$964K 3.23% 1
2017
Q1
$87.1M Buy
+1,092,193
New +$87.1M 3.02% 1