Kistler-Tiffany Companies’s Vanguard FTSE All-World ex-US ETF VEU Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2023
Q2
$1.55M Buy
28,396
+326
+1% +$17.7K 0.25% 79
2023
Q1
$1.5M Sell
28,070
-23
-0.1% -$1.23K 0.29% 70
2022
Q4
$1.41M Buy
28,093
+9,883
+54% +$496K 0.29% 66
2022
Q3
$808K Buy
18,210
+10,712
+143% +$475K 0.18% 96
2022
Q2
$375K Sell
7,498
-35
-0.5% -$1.75K 0.08% 153
2022
Q1
$434K Buy
7,533
+386
+5% +$22.2K 0.08% 147
2021
Q4
$438K Buy
7,147
+34
+0.5% +$2.08K 0.09% 135
2021
Q3
$434K Buy
7,113
+14
+0.2% +$854 0.1% 121
2021
Q2
$450K Sell
7,099
-425
-6% -$26.9K 0.1% 118
2021
Q1
$457K Buy
7,524
+5
+0.1% +$304 0.12% 111
2020
Q4
$439K Sell
7,519
-4,872
-39% -$284K 0.13% 106
2020
Q3
$625K Buy
12,391
+2,366
+24% +$119K 0.2% 82
2020
Q2
$477K Buy
10,025
+218
+2% +$10.4K 0.17% 88
2020
Q1
$527K Hold
9,807
0.19% 79
2019
Q4
$527K Buy
9,807
+1,312
+15% +$70.5K 0.18% 81
2019
Q3
$424K Buy
8,495
+1,069
+14% +$53.4K 0.16% 81
2019
Q2
$379K Sell
7,426
-51
-0.7% -$2.6K 0.14% 88
2019
Q1
$375K Sell
7,477
-1,305
-15% -$65.5K 0.16% 88
2018
Q4
$400K Buy
8,782
+30
+0.3% +$1.37K 0.19% 77
2018
Q3
$456K Hold
8,752
0.19% 82
2018
Q2
$454K Sell
8,752
-1,967
-18% -$102K 0.2% 82
2018
Q1
$583K Buy
10,719
+45
+0.4% +$2.45K 0.24% 76
2017
Q4
$584K Buy
10,674
+7
+0.1% +$383 0.23% 79
2017
Q3
$562K Buy
10,667
+1,634
+18% +$86.1K 0.23% 72
2017
Q2
$452K Sell
9,033
-746
-8% -$37.3K 0.21% 82
2017
Q1
$468K Buy
9,779
+219
+2% +$10.5K 0.22% 74
2016
Q4
$422K Buy
9,560
+4,048
+73% +$179K 0.21% 77
2016
Q3
$250K Sell
5,512
-784
-12% -$35.6K 0.12% 105
2016
Q2
$270K Buy
6,296
+8
+0.1% +$343 0.14% 100
2016
Q1
$271K Buy
6,288
+415
+7% +$17.9K 0.15% 97
2015
Q4
$328K Buy
5,873
+677
+13% +$37.8K 0.18% 80
2015
Q3
$294K Sell
5,196
-838
-14% -$47.4K 0.18% 87
2015
Q2
$293K Buy
6,034
+1,432
+31% +$69.5K 0.18% 90
2015
Q1
$224K Sell
4,602
-210
-4% -$10.2K 0.14% 96
2014
Q4
$225K Sell
4,812
-2,185
-31% -$102K 0.15% 100
2014
Q3
$345K Buy
6,997
+1,244
+22% +$61.3K 0.23% 75
2014
Q2
$301K Hold
5,753
0.22% 78
2014
Q1
$289K Buy
5,753
+103
+2% +$5.17K 0.22% 78
2013
Q4
$287K Hold
5,650
0.22% 79
2013
Q3
$275K Sell
5,650
-1,782
-24% -$86.7K 0.22% 81
2013
Q2
$329K Buy
+7,432
New +$329K 0.28% 63