Boston Financial Management’s Vanguard Short-Term Corporate Bond ETF VCSH Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2024
Q4
$2.37M Sell
30,374
-1,066
-3% -$83.2K 0.07% 138
2024
Q3
$2.5M Sell
31,440
-62
-0.2% -$4.92K 0.07% 134
2024
Q2
$2.43M Sell
31,502
-495
-2% -$38.3K 0.08% 131
2024
Q1
$2.47M Sell
31,997
-1,454
-4% -$112K 0.08% 130
2023
Q4
$2.59M Sell
33,451
-17,349
-34% -$1.34M 0.09% 126
2023
Q3
$3.82M Sell
50,800
-5,169
-9% -$388K 0.14% 101
2023
Q2
$4.23M Sell
55,969
-7,627
-12% -$577K 0.15% 101
2023
Q1
$4.85M Sell
63,596
-15,485
-20% -$1.18M 0.19% 93
2022
Q4
$5.95M Sell
79,081
-423,754
-84% -$31.9M 0.24% 82
2022
Q3
$37.4M Buy
502,835
+91,859
+22% +$6.82M 1.62% 18
2022
Q2
$31.3M Buy
410,976
+22,446
+6% +$1.71M 1.35% 26
2022
Q1
$30.3M Buy
388,530
+86,811
+29% +$6.78M 1.15% 29
2021
Q4
$24.5M Buy
301,719
+2,292
+0.8% +$186K 0.89% 35
2021
Q3
$24.7M Buy
299,427
+9,750
+3% +$804K 1.01% 36
2021
Q2
$24M Sell
289,677
-15,593
-5% -$1.29M 0.97% 36
2021
Q1
$25.2M Buy
305,270
+31,107
+11% +$2.57M 1.11% 35
2020
Q4
$22.8M Buy
274,163
+41,451
+18% +$3.45M 1.04% 35
2020
Q3
$19.3M Buy
232,712
+62,544
+37% +$5.18M 0.94% 35
2020
Q2
$14.1M Buy
170,168
+45,440
+36% +$3.76M 0.76% 37
2020
Q1
$9.87M Buy
124,728
+6,918
+6% +$547K 0.63% 43
2019
Q4
$9.55M Buy
117,810
+1,293
+1% +$105K 0.52% 60
2019
Q3
$9.44M Buy
116,517
+660
+0.6% +$53.5K 0.54% 59
2019
Q2
$9.35M Sell
115,857
-4,173
-3% -$337K 0.54% 61
2019
Q1
$9.57M Sell
120,030
-8,676
-7% -$692K 0.58% 60
2018
Q4
$10M Sell
128,706
-5,726
-4% -$446K 0.69% 55
2018
Q3
$10.5M Sell
134,432
-5,254
-4% -$411K 0.62% 56
2018
Q2
$10.9M Buy
139,686
+25,457
+22% +$1.99M 0.74% 51
2018
Q1
$8.96M Sell
114,229
-3,194
-3% -$251K 0.61% 61
2017
Q4
$9.31M Buy
117,423
+3,039
+3% +$241K 0.62% 63
2017
Q3
$9.17M Buy
114,384
+24,480
+27% +$1.96M 0.65% 59
2017
Q2
$7.2M Buy
89,904
+1,357
+2% +$109K 0.52% 71
2017
Q1
$7.06M Buy
88,547
+505
+0.6% +$40.3K 0.53% 68
2016
Q4
$6.99M Sell
88,042
-922
-1% -$73.2K 0.55% 64
2016
Q3
$7.17M Buy
88,964
+2,372
+3% +$191K 0.58% 61
2016
Q2
$7M Buy
+86,592
New +$7M 0.57% 63