Brookstone Capital 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
2025
Q2
$966K Buy
12,154
+325
+3% +$25.8K 0.01% 577
2025
Q1
$934K Buy
11,829
+1,136
+11% +$89.7K 0.01% 572
2024
Q4
$834K Buy
10,693
+1,073
+11% +$83.7K 0.01% 577
2024
Q3
$764K Sell
9,620
-377
-4% -$29.9K 0.01% 579
2024
Q2
$778K Buy
9,997
+676
+7% +$52.6K 0.01% 549
2024
Q1
$721K Sell
9,321
-2
-0% -$155 0.01% 549
2023
Q4
$721K Sell
9,323
-3,771
-29% -$292K 0.01% 520
2023
Q3
$976K Sell
13,094
-38,209
-74% -$2.85M 0.02% 431
2023
Q2
$3.85M Sell
51,303
-515,244
-91% -$38.7M 0.08% 231
2023
Q1
$43.1M Sell
566,547
-55,148
-9% -$4.2M 0.84% 21
2022
Q4
$47.1M Sell
621,695
-60,064
-9% -$4.55M 0.95% 19
2022
Q3
$50.4M Sell
681,759
-106,506
-14% -$7.87M 1.16% 12
2022
Q2
$60.2M Sell
788,265
-349,709
-31% -$26.7M 1.33% 12
2022
Q1
$88M Sell
1,137,974
-657,931
-37% -$50.9M 1.72% 9
2021
Q4
$145M Sell
1,795,905
-171,486
-9% -$13.9M 2.5% 5
2021
Q3
$162M Buy
1,967,391
+66,194
+3% +$5.44M 2.91% 4
2021
Q2
$157M Buy
1,901,197
+1,860,457
+4,567% +$154M 2.81% 5
2021
Q1
$3.36M Buy
+40,740
New +$3.36M 0.13% 143
2020
Q4
Sell
-24,446
Closed -$2.03M 520
2020
Q3
$2.03M Buy
24,446
+4,603
+23% +$381K 0.09% 143
2020
Q2
$1.64M Sell
19,843
-3,852
-16% -$318K 0.1% 138
2020
Q1
$1.87M Buy
+23,695
New +$1.87M 0.11% 119
2019
Q2
Sell
-28,338
Closed -$2.26M 478
2019
Q1
$2.26M Buy
+28,338
New +$2.26M 0.15% 96
2018
Q1
Sell
-2,539
Closed -$201K 358
2017
Q4
$201K Buy
+2,539
New +$201K 0.02% 298
2017
Q1
Sell
-2,783
Closed -$221K 281
2016
Q4
$221K Sell
2,783
-3,437
-55% -$273K 0.02% 214
2016
Q3
$500K Sell
6,220
-4,132
-40% -$332K 0.06% 169
2016
Q2
$837K Sell
10,352
-10,509
-50% -$850K 0.11% 133
2016
Q1
$1.67M Sell
20,861
-10,462
-33% -$837K 0.25% 109
2015
Q4
$2.47M Buy
31,323
+23,551
+303% +$1.86M 0.48% 32
2015
Q3
$620K Buy
7,772
+5,978
+333% +$477K 0.11% 52
2015
Q2
$143K Buy
+1,794
New +$143K 0.02% 281
2014
Q4
Sell
-2,588
Closed -$207K 187
2014
Q3
$207K Buy
2,588
+6
+0.2% +$480 0.04% 152
2014
Q2
$208K Sell
2,582
-34
-1% -$2.74K 0.04% 115
2014
Q1
$209K Sell
2,616
-296
-10% -$23.6K 0.05% 106
2013
Q4
$232K Buy
+2,912
New +$232K 0.07% 104