Brighton Jones LLC’s Vanguard Short-Term Bond ETF BSV Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$583K Sell
7,402
-55
-0.7% -$4.33K 0.02% 486
2025
Q1
$584K Sell
7,457
-4,204
-36% -$329K 0.02% 354
2024
Q4
$901K Buy
11,661
+3,262
+39% +$252K 0.03% 280
2024
Q3
$661K Buy
8,399
+2,462
+41% +$194K 0.02% 274
2024
Q2
$455K Sell
5,937
-2,901
-33% -$222K 0.02% 370
2024
Q1
$678K Buy
8,838
+809
+10% +$62K 0.02% 290
2023
Q4
$618K Buy
8,029
+1,755
+28% +$135K 0.03% 282
2023
Q3
$472K Sell
6,274
-6,703
-52% -$504K 0.02% 302
2023
Q2
$981K Buy
12,977
+6,091
+88% +$460K 0.05% 190
2023
Q1
$527K Buy
6,886
+998
+17% +$76.3K 0.03% 279
2022
Q4
$443K Sell
5,888
-949
-14% -$71.4K 0.03% 268
2022
Q3
$512K Sell
6,837
-3,991
-37% -$299K 0.03% 233
2022
Q2
$831K Buy
10,828
+362
+3% +$27.8K 0.05% 176
2022
Q1
$815K Sell
10,466
-1,360
-12% -$106K 0.04% 201
2021
Q4
$956K Sell
11,826
-54
-0.5% -$4.37K 0.05% 180
2021
Q3
$973K Sell
11,880
-564
-5% -$46.2K 0.05% 162
2021
Q2
$1.02M Sell
12,444
-4,196
-25% -$345K 0.05% 157
2021
Q1
$1.37M Buy
16,640
+6,263
+60% +$515K 0.08% 115
2020
Q4
$860K Buy
10,377
+1,292
+14% +$107K 0.05% 154
2020
Q3
$754K Sell
9,085
-390
-4% -$32.4K 0.05% 147
2020
Q2
$788K Sell
9,475
-532
-5% -$44.2K 0.06% 130
2020
Q1
$822K Buy
10,007
+945
+10% +$77.6K 0.09% 109
2019
Q4
$730K Buy
9,062
+3,336
+58% +$269K 0.08% 145
2019
Q3
$463K Sell
5,726
-413
-7% -$33.4K 0.05% 174
2019
Q2
$494K Sell
6,139
-25
-0.4% -$2.01K 0.06% 169
2019
Q1
$491K Sell
6,164
-660
-10% -$52.6K 0.06% 172
2018
Q4
$536K Sell
6,824
-516
-7% -$40.5K 0.08% 134
2018
Q3
$573K Sell
7,340
-1,953
-21% -$152K 0.07% 144
2018
Q2
$727K Sell
9,293
-833
-8% -$65.2K 0.09% 126
2018
Q1
$794K Sell
10,126
-10,620
-51% -$833K 0.11% 104
2017
Q4
$1.64M Buy
20,746
+3,435
+20% +$272K 0.2% 59
2017
Q3
$1.38M Sell
17,311
-748
-4% -$59.7K 0.18% 72
2017
Q2
$1.44M Buy
+18,059
New +$1.44M 0.2% 57
2016
Q4
Sell
-3,945
Closed -$319K 121
2016
Q3
$319K Sell
3,945
-822
-17% -$66.4K 0.05% 178
2016
Q2
$386K Buy
4,767
+1,972
+71% +$160K 0.07% 141
2016
Q1
$225K Buy
+2,795
New +$225K 0.04% 184
2015
Q4
Sell
-7,465
Closed -$600K 206
2015
Q3
$600K Buy
7,465
+408
+6% +$32.8K 0.13% 91
2015
Q2
$566K Sell
7,057
-349
-5% -$28K 0.13% 86
2015
Q1
$596K Sell
7,406
-221
-3% -$17.8K 0.13% 84
2014
Q4
$610K Buy
7,627
+581
+8% +$46.5K 0.14% 88
2014
Q3
$564K Buy
7,046
+2
+0% +$160 0.13% 96
2014
Q2
$566K Sell
7,044
-15
-0.2% -$1.21K 0.13% 88
2014
Q1
$565K Buy
7,059
+2
+0% +$160 0.13% 76
2013
Q4
$564K Buy
7,057
+5
+0.1% +$400 0.13% 84
2013
Q3
$567K Sell
7,052
-1,397
-17% -$112K 0.15% 74
2013
Q2
$677K Buy
+8,449
New +$677K 0.2% 45