Bragg Financial Advisors’s Vanguard FTSE Pacific ETF VPL Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$434K Hold
5,275
0.02% 285
2025
Q1
$382K Hold
5,275
0.02% 278
2024
Q4
$375K Hold
5,275
0.02% 278
2024
Q3
$414K Sell
5,275
-326
-6% -$25.6K 0.02% 261
2024
Q2
$415K Hold
5,601
0.02% 254
2024
Q1
$426K Hold
5,601
0.02% 251
2023
Q4
$403K Hold
5,601
0.02% 255
2023
Q3
$375K Hold
5,601
0.02% 258
2023
Q2
$391K Hold
5,601
0.02% 261
2023
Q1
$380K Hold
5,601
0.02% 256
2022
Q4
$360K Sell
5,601
-340
-6% -$21.9K 0.02% 254
2022
Q3
$341K Hold
5,941
0.02% 246
2022
Q2
$377K Hold
5,941
0.03% 246
2022
Q1
$440K Buy
5,941
+1,000
+20% +$74.1K 0.03% 249
2021
Q4
$400K Hold
4,941
0.03% 244
2021
Q3
$400K Hold
4,941
0.03% 244
2021
Q2
$407K Sell
4,941
-415
-8% -$34.2K 0.03% 245
2021
Q1
$437K Hold
5,356
0.03% 223
2020
Q4
$426K Hold
5,356
0.04% 210
2020
Q3
$364K Sell
5,356
-250
-4% -$17K 0.04% 215
2020
Q2
$357K Hold
5,606
0.04% 211
2020
Q1
$309K Hold
5,606
0.04% 211
2019
Q4
$390K Hold
5,606
0.04% 213
2019
Q3
$370K Hold
5,606
0.05% 214
2019
Q2
$370K Hold
5,606
0.05% 215
2019
Q1
$369K Hold
5,606
0.05% 209
2018
Q4
$340K Hold
5,606
0.05% 210
2018
Q3
$399K Hold
5,606
0.05% 206
2018
Q2
$392K Hold
5,606
0.06% 206
2018
Q1
$409K Sell
5,606
-365
-6% -$26.6K 0.06% 207
2017
Q4
$435K Sell
5,971
-1,425
-19% -$104K 0.06% 207
2017
Q3
$504K Sell
7,396
-110
-1% -$7.5K 0.08% 189
2017
Q2
$494K Sell
7,506
-380
-5% -$25K 0.08% 197
2017
Q1
$499K Sell
7,886
-1,239
-14% -$78.4K 0.08% 203
2016
Q4
$530K Hold
9,125
0.09% 197
2016
Q3
$553K Hold
9,125
0.1% 194
2016
Q2
$509K Hold
9,125
0.09% 197
2016
Q1
$504K Hold
9,125
0.1% 193
2015
Q4
$517K Sell
9,125
-275
-3% -$15.6K 0.11% 182
2015
Q3
$505K Sell
9,400
-105
-1% -$5.64K 0.12% 171
2015
Q2
$580K Hold
9,505
0.13% 174
2015
Q1
$582K Sell
9,505
-305
-3% -$18.7K 0.13% 169
2014
Q4
$558K Sell
9,810
-60
-0.6% -$3.41K 0.14% 169
2014
Q3
$585K Hold
9,870
0.15% 167
2014
Q2
$614K Hold
9,870
0.15% 169
2014
Q1
$583K Hold
9,870
0.14% 170
2013
Q4
$605K Sell
9,870
-925
-9% -$56.7K 0.15% 169
2013
Q3
$656K Hold
10,795
0.17% 158
2013
Q2
$603K Buy
+10,795
New +$603K 0.17% 161