Mirae Asset Global Investments
VTWO icon

Mirae Asset Global Investments’s Vanguard Russell 2000 ETF VTWO Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$672K Sell
7,700
-13,600
-64% -$1.19M ﹤0.01% 901
2025
Q1
$1.73M Sell
21,300
-69,350
-77% -$5.62M 0.01% 713
2024
Q4
$8.09M Buy
+90,650
New +$8.09M 0.03% 350
2024
Q2
Sell
-6,409,425
Closed -$449M 2530
2024
Q1
$449M Buy
6,409,425
+2,137,708
+50% +$150M 0.97% 10
2023
Q4
$346M Sell
4,271,717
-2,881,935
-40% -$234M 0.7% 17
2023
Q3
$511M Buy
7,153,652
+206,036
+3% +$14.7M 1.13% 10
2023
Q2
$525M Buy
6,947,616
+910,563
+15% +$68.9M 1.12% 9
2023
Q1
$435M Buy
6,037,053
+46,730
+0.8% +$3.37M 1.01% 10
2022
Q4
$422M Buy
5,990,323
+925,621
+18% +$65.1M 1.1% 8
2022
Q3
$337M Sell
5,064,702
-4,261,410
-46% -$284M 0.91% 11
2022
Q2
$638M Sell
9,326,112
-5,912,958
-39% -$404M 1.62% 7
2022
Q1
$1.26B Buy
15,239,070
+5,858,233
+62% +$485M 2.65% 3
2021
Q4
$842M Buy
9,380,837
+4,385,194
+88% +$394M 1.8% 6
2021
Q3
$442M Buy
4,995,643
+2,569,340
+106% +$227M 1.12% 10
2021
Q2
$225M Buy
2,426,303
+1,920,099
+379% +$178M 0.63% 16
2021
Q1
$90.2M Buy
506,204
+289,138
+133% +$51.5M 0.31% 62
2020
Q4
$34.4M Buy
217,066
+53,455
+33% +$8.46M 0.13% 195
2020
Q3
$19.8M Buy
163,611
+24,747
+18% +$2.99M 0.1% 243
2020
Q2
$16M Buy
138,864
+9,161
+7% +$1.06M 0.1% 236
2020
Q1
$12M Buy
129,703
+42,897
+49% +$3.96M 0.09% 234
2019
Q4
$11.6M Buy
86,806
+25,516
+42% +$3.4M 0.07% 321
2019
Q3
$7.46M Sell
61,290
-19,147
-24% -$2.33M 0.05% 384
2019
Q2
$10.1M Buy
80,437
+37,187
+86% +$4.65M 0.07% 297
2019
Q1
$5.32M Buy
43,250
+4,850
+13% +$597K 0.04% 397
2018
Q4
$4.12M Sell
38,400
-30,250
-44% -$3.25M 0.04% 410
2018
Q3
$9.29M Sell
68,650
-4,600
-6% -$622K 0.07% 284
2018
Q2
$9.61M Buy
73,250
+45,950
+168% +$6.03M 0.13% 113
2018
Q1
$3.33M Sell
27,300
-49,250
-64% -$6.01M 0.04% 264
2017
Q4
$9.36M Buy
76,550
+46,400
+154% +$5.67M 0.13% 113
2017
Q3
$3.59M Buy
30,150
+11,770
+64% +$1.4M 0.07% 219
2017
Q2
$2.07M Buy
18,380
+7,450
+68% +$840K 0.04% 303
2017
Q1
$1.21M Buy
+10,930
New +$1.21M 0.02% 351