Mirae Asset Global Investments
VCIT icon

Mirae Asset Global Investments’s Vanguard Intermediate-Term Corporate Bond ETF VCIT Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$49.8M Sell
600,441
-28,686
-5% -$2.38M 0.17% 102
2025
Q1
$51.4M Buy
629,127
+17,327
+3% +$1.42M 0.21% 92
2024
Q4
$49.2M Buy
611,800
+123,477
+25% +$9.93M 0.2% 91
2024
Q3
$41M Buy
488,323
+37,780
+8% +$3.17M 0.18% 100
2024
Q2
$36.1M Buy
450,543
+42,377
+10% +$3.4M 0.18% 100
2024
Q1
$32.9M Sell
408,166
-2,803
-0.7% -$226K 0.07% 261
2023
Q4
$33.4M Buy
410,969
+4,025
+1% +$327K 0.07% 286
2023
Q3
$30.9M Buy
406,944
+92,353
+29% +$7.02M 0.07% 290
2023
Q2
$24.9M Buy
314,591
+13,030
+4% +$1.03M 0.05% 366
2023
Q1
$24.2M Sell
301,561
-124,770
-29% -$10M 0.06% 359
2022
Q4
$33M Sell
426,331
-115,032
-21% -$8.92M 0.09% 253
2022
Q3
$41M Buy
541,363
+14,749
+3% +$1.12M 0.11% 204
2022
Q2
$42.1M Sell
526,614
-81,558
-13% -$6.53M 0.11% 215
2022
Q1
$52.3M Sell
608,172
-270,439
-31% -$23.3M 0.11% 209
2021
Q4
$81.5M Sell
878,611
-93,423
-10% -$8.67M 0.17% 120
2021
Q3
$91.8M Buy
972,034
+171,970
+21% +$16.2M 0.23% 94
2021
Q2
$76.1M Sell
800,064
-38,607
-5% -$3.67M 0.21% 111
2021
Q1
$78M Sell
838,671
-238,669
-22% -$22.2M 0.27% 73
2020
Q4
$105M Buy
1,077,340
+209,953
+24% +$20.4M 0.39% 50
2020
Q3
$83.1M Buy
867,387
+14,667
+2% +$1.41M 0.41% 42
2020
Q2
$81.1M Buy
852,720
+299,920
+54% +$28.5M 0.49% 37
2020
Q1
$48.1M Buy
552,800
+92,453
+20% +$8.05M 0.38% 48
2019
Q4
$42M Sell
460,347
-21,460
-4% -$1.96M 0.26% 81
2019
Q3
$44M Buy
481,807
+230,800
+92% +$21.1M 0.31% 69
2019
Q2
$22.6M Buy
251,007
+119,957
+92% +$10.8M 0.15% 151
2019
Q1
$11.4M Buy
131,050
+11,650
+10% +$1.01M 0.08% 233
2018
Q4
$9.89M Buy
119,400
+44,000
+58% +$3.65M 0.09% 236
2018
Q3
$6.3M Buy
75,400
+25,700
+52% +$2.15M 0.05% 362
2018
Q2
$4.15M Sell
49,700
-23,400
-32% -$1.95M 0.06% 210
2018
Q1
$6.2M Buy
+73,100
New +$6.2M 0.08% 158
2015
Q2
Sell
-171,000
Closed -$15M 495
2015
Q1
$15M Buy
171,000
+111,000
+185% +$9.73M 0.51% 50
2014
Q4
$5.17M Sell
60,000
-146,900
-71% -$12.6M 0.19% 79
2014
Q3
$17.7M Sell
206,900
-58,700
-22% -$5.03M 0.64% 47
2014
Q2
$23M Sell
265,600
-347,400
-57% -$30.1M 0.51% 47
2014
Q1
$52.1M Buy
+613,000
New +$52.1M 1.32% 27
2013
Q4
Sell
-513,800
Closed -$42.9M 441
2013
Q3
$42.9M Hold
513,800
1.94% 16
2013
Q2
$42.7M Buy
+513,800
New +$42.7M 2.26% 12