Emery Howard Portfolio Management’s Vanguard FTSE Developed Markets ETF VEA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
$107M Buy
2,087,742
+205,356
+11% +$10.5M 13.78% 2
2021
Q3
$95M Buy
1,882,386
+38,733
+2% +$1.96M 13.92% 2
2021
Q2
$95M Buy
1,843,653
+92,070
+5% +$4.74M 13.98% 2
2021
Q1
$86M Buy
1,751,583
+31,085
+2% +$1.53M 13.91% 2
2020
Q4
$81.2M Buy
1,720,498
+39,374
+2% +$1.86M 13.98% 2
2020
Q3
$68.8M Buy
1,681,124
+26,179
+2% +$1.07M 13.7% 2
2020
Q2
$64.2M Buy
1,654,945
+57,062
+4% +$2.21M 13.76% 2
2020
Q1
$53.3M Buy
1,597,883
+249,317
+18% +$8.31M 13.02% 2
2019
Q4
$59.4M Buy
1,348,566
+3,740
+0.3% +$165K 11.07% 2
2019
Q3
$55.2M Sell
1,344,826
-5,041
-0.4% -$207K 11.21% 2
2019
Q2
$56.3M Buy
1,349,867
+4,877
+0.4% +$203K 11.4% 2
2019
Q1
$55M Buy
1,344,990
+3,152
+0.2% +$129K 11.44% 2
2018
Q4
$49.8M Buy
1,341,838
+55,295
+4% +$2.05M 11.75% 2
2018
Q3
$55.7M Sell
1,286,543
-4,477
-0.3% -$194K 11.44% 2
2018
Q2
$55.4M Buy
1,291,020
+16,416
+1% +$704K 11.87% 2
2018
Q1
$56.4M Sell
1,274,604
-7,366
-0.6% -$326K 12.16% 2
2017
Q4
$57.5M Sell
1,281,970
-6,382
-0.5% -$286K 12.29% 2
2017
Q3
$55.9M Sell
1,288,352
-3,362
-0.3% -$146K 12.4% 2
2017
Q2
$53.4M Sell
1,291,714
-8,667
-0.7% -$358K 11.6% 2
2017
Q1
$51.1M Sell
1,300,381
-10,141
-0.8% -$399K 11.57% 2
2016
Q4
$47.9M Buy
1,310,522
+37,107
+3% +$1.36M 11.29% 2
2016
Q3
$47.6M Buy
1,273,415
+21,359
+2% +$799K 11.38% 2
2016
Q2
$44.3M Sell
1,252,056
-44,308
-3% -$1.57M 11.03% 2
2016
Q1
$46.5M Sell
1,296,364
-182,549
-12% -$6.55M 11.77% 2
2015
Q4
$54.3M Buy
1,478,913
+12,590
+0.9% +$462K 14.01% 2
2015
Q3
$52.3M Buy
1,466,323
+18,891
+1% +$673K 14.29% 2
2015
Q2
$57.4M Buy
1,447,432
+14,882
+1% +$590K 14.75% 2
2015
Q1
$57.1M Buy
1,432,550
+34,387
+2% +$1.37M 14.69% 2
2014
Q4
$53M Buy
1,398,163
+84,385
+6% +$3.2M 15.31% 2
2014
Q3
$52.2M Buy
1,313,778
+10,864
+0.8% +$432K 16.51% 2
2014
Q2
$55.5M Buy
1,302,914
+29,949
+2% +$1.28M 17.07% 2
2014
Q1
$52.5M Buy
1,272,965
+1,744
+0.1% +$72K 17.2% 2
2013
Q4
$53M Sell
1,271,221
-19,809
-2% -$826K 17.68% 2
2013
Q3
$51.1M Buy
1,291,030
+4,056
+0.3% +$161K 18.75% 2
2013
Q2
$45.8M Buy
+1,286,974
New +$45.8M 17.73% 2