Mirae Asset Global Investments
VCSH icon

Mirae Asset Global Investments’s Vanguard Short-Term Corporate Bond ETF VCSH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$30.6M Buy
384,416
+49,830
+15% +$3.96M 0.11% 155
2025
Q1
$26.4M Buy
334,586
+51,919
+18% +$4.1M 0.11% 153
2024
Q4
$22.1M Sell
282,667
-87,870
-24% -$6.85M 0.09% 170
2024
Q3
$29.5M Buy
370,537
+52,460
+16% +$4.17M 0.13% 130
2024
Q2
$24.6M Buy
318,077
+21,727
+7% +$1.68M 0.12% 137
2024
Q1
$22.9M Sell
296,350
-25,647
-8% -$1.98M 0.05% 374
2023
Q4
$24.9M Sell
321,997
-1,895
-0.6% -$147K 0.05% 369
2023
Q3
$24.3M Buy
323,892
+16,560
+5% +$1.24M 0.05% 357
2023
Q2
$23.3M Sell
307,332
-280,650
-48% -$21.2M 0.05% 385
2023
Q1
$44.8M Buy
587,982
+30,294
+5% +$2.31M 0.1% 196
2022
Q4
$41.9M Buy
557,688
+66,586
+14% +$5.01M 0.11% 215
2022
Q3
$36.5M Buy
491,102
+18,962
+4% +$1.41M 0.1% 229
2022
Q2
$36M Buy
472,140
+51,470
+12% +$3.93M 0.09% 249
2022
Q1
$32.9M Sell
420,670
-44,120
-9% -$3.45M 0.07% 304
2021
Q4
$37.8M Buy
464,790
+212,690
+84% +$17.3M 0.08% 285
2021
Q3
$20.8M Sell
252,100
-291,780
-54% -$24M 0.05% 404
2021
Q2
$45M Sell
543,880
-153,770
-22% -$12.7M 0.13% 217
2021
Q1
$57.6M Buy
697,650
+423,780
+155% +$35M 0.2% 127
2020
Q4
$22.8M Buy
273,870
+119,070
+77% +$9.91M 0.08% 287
2020
Q3
$12.8M Buy
154,800
+90,000
+139% +$7.46M 0.06% 329
2020
Q2
$5.36M Buy
64,800
+42,300
+188% +$3.5M 0.03% 482
2020
Q1
$1.78M Sell
22,500
-272,030
-92% -$21.5M 0.01% 673
2019
Q4
$23.9M Buy
294,530
+272,830
+1,257% +$22.1M 0.15% 163
2019
Q3
$1.76M Hold
21,700
0.01% 738
2019
Q2
$1.75M Sell
21,700
-73,300
-77% -$5.91M 0.01% 743
2019
Q1
$7.58M Sell
95,000
-70,950
-43% -$5.66M 0.06% 321
2018
Q4
$12.9M Sell
165,950
-112,900
-40% -$8.8M 0.12% 193
2018
Q3
$21.8M Buy
278,850
+164,550
+144% +$12.9M 0.16% 137
2018
Q2
$8.93M Buy
114,300
+100,300
+716% +$7.83M 0.12% 117
2018
Q1
$1.1M Buy
14,000
+10,100
+259% +$792K 0.01% 481
2017
Q4
$309K Sell
3,900
-263,960
-99% -$20.9M ﹤0.01% 622
2017
Q3
$21.5M Sell
267,860
-30,100
-10% -$2.41M 0.39% 53
2017
Q2
$23.8M Buy
+297,960
New +$23.8M 0.41% 51
2014
Q3
Sell
-375,000
Closed -$30.1M 478
2014
Q2
$30.1M Buy
+375,000
New +$30.1M 0.67% 41