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HCM
Howland Capital Management’s
Vanguard Intermediate-Term Corporate Bond ETF
VCIT
Stock Holding History
Howland Capital Management’s Portfolio
VCIT Stock Details
VCIT Fund Activity
Bought
Maintained
Sold
Quarter
Market Value
Status
Shares
Change in
Stake
Trade Value
Portfolio Weight
Portfolio Position
2023
Q1
–
Sell
-3,464
Closed
-$268K
–
273
2022
Q4
$268K
Hold
3,464
–
–
0.02%
223
2022
Q3
$262K
Sell
3,464
-600
-15%
-$48.1K
0.02%
211
2022
Q2
$325K
Sell
4,064
-306
-7%
-$25K
0.02%
196
2022
Q1
$376K
Hold
4,370
–
–
0.02%
169
2021
Q4
$405K
Hold
4,370
–
–
0.02%
164
2021
Q3
$413K
Hold
4,370
–
–
0.02%
171
2021
Q2
$415K
Buy
4,370
+120
+3%
+$11.3K
0.02%
182
2021
Q1
$395K
Hold
4,250
–
–
0.02%
179
2020
Q4
$413K
Hold
4,250
–
–
0.02%
168
2020
Q3
$407K
Hold
4,250
–
–
0.03%
158
2020
Q2
$404K
Buy
+4,250
New
+$391K
0.03%
158
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1-Year Est. Return
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31.6%
1-Year Est. Return
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$147B AUM
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1-Year Est. Return
JSTA
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$4.81B AUM
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1-Year Est. Return
MYLI
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Tokyo, Japan
$2.93B AUM
4.27%
1-Year Est. Return
JP Morgan Chase
New York
$1.47T AUM
27.86%
1-Year Est. Return
Manulife (Manufacturers Life Insurance)
Canada, Ontario, Canada
$116B AUM
26.37%
1-Year Est. Return
Ameriprise
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$431B AUM
30.22%
1-Year Est. Return
LPL Financial
San Diego, California
$376B AUM
19.32%
1-Year Est. Return
Goldman Sachs
New York
$761B AUM
31.28%
1-Year Est. Return
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Fund Insights
Common Fund Bets
See what stocks and ETFs funds are collectively bullish/bearish on
Largest Fund Trades
Explore the largest stock and ETF buys and sells made by funds
High Conviction Trades
Discover high conviction trades that caused a significant change in a fund's stake in a stock
Fund Manager Portfolios
Gain insights from the world’s largest funds and super investors
WSR Indexes
Fund Manager Index
Stock index based on fund manager consensus updated each quarter
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