Emery Howard Portfolio Management’s Vanguard FTSE Emerging Markets ETF VWO Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2021
Q4
$36.3M Buy
734,601
+124,100
+20% +$6.14M 4.7% 6
2021
Q3
$30.5M Buy
610,501
+21,918
+4% +$1.1M 4.47% 6
2021
Q2
$32M Buy
588,583
+47,784
+9% +$2.6M 4.7% 6
2021
Q1
$28.1M Buy
540,799
+8,632
+2% +$449K 4.55% 6
2020
Q4
$26.7M Buy
532,167
+19,367
+4% +$970K 4.59% 6
2020
Q3
$22.2M Buy
512,800
+15,843
+3% +$685K 4.42% 9
2020
Q2
$19.7M Buy
496,957
+132,793
+36% +$5.26M 4.22% 9
2020
Q1
$12.2M Buy
364,164
+5,172
+1% +$174K 2.99% 10
2019
Q4
$16M Sell
358,992
-2,639
-0.7% -$117K 2.98% 11
2019
Q3
$14.6M Buy
361,631
+4,354
+1% +$175K 2.95% 11
2019
Q2
$15.2M Sell
357,277
-4,429
-1% -$188K 3.08% 11
2019
Q1
$15.4M Buy
361,706
+286
+0.1% +$12.2K 3.2% 11
2018
Q4
$13.8M Buy
361,420
+31,082
+9% +$1.18M 3.25% 10
2018
Q3
$13.5M Buy
330,338
+3,741
+1% +$153K 2.78% 11
2018
Q2
$13.8M Buy
326,597
+681
+0.2% +$28.7K 2.95% 11
2018
Q1
$15.3M Sell
325,916
-4,980
-2% -$234K 3.3% 10
2017
Q4
$15.2M Sell
330,896
-2,795
-0.8% -$128K 3.25% 10
2017
Q3
$14.5M Buy
333,691
+235
+0.1% +$10.2K 3.22% 10
2017
Q2
$13.6M Sell
333,456
-10,191
-3% -$416K 2.96% 10
2017
Q1
$13.7M Sell
343,647
-6,727
-2% -$267K 3.09% 9
2016
Q4
$12.5M Sell
350,374
-924
-0.3% -$33.1K 2.96% 9
2016
Q3
$13.2M Buy
351,298
+6,915
+2% +$260K 3.16% 9
2016
Q2
$12.1M Sell
344,383
-7,642
-2% -$269K 3.02% 10
2016
Q1
$12.2M Sell
352,025
-4,460
-1% -$154K 3.08% 10
2015
Q4
$11.7M Buy
356,485
+23,971
+7% +$784K 3.01% 10
2015
Q3
$11M Sell
332,514
-208,281
-39% -$6.89M 3.01% 10
2015
Q2
$22.1M Buy
540,795
+9,077
+2% +$371K 5.68% 4
2015
Q1
$21.7M Buy
531,718
+22,932
+5% +$937K 5.59% 4
2014
Q4
$20.4M Buy
508,786
+60,275
+13% +$2.41M 5.89% 4
2014
Q3
$18.7M Buy
448,511
+3,081
+0.7% +$129K 5.92% 4
2014
Q2
$19.2M Buy
445,430
+5,870
+1% +$253K 5.91% 4
2014
Q1
$17.8M Buy
439,560
+20,737
+5% +$841K 5.84% 5
2013
Q4
$17.2M Buy
418,823
+5,893
+1% +$242K 5.75% 5
2013
Q3
$16.6M Buy
412,930
+17,215
+4% +$691K 6.08% 5
2013
Q2
$15.4M Buy
+395,715
New +$15.4M 5.94% 5